16.08.2016, 13:33
KEGOC Placed 20.8 mln Bonds at 18.6% APR
OREANDA-NEWS. A special trading session for offering of bonds KZP01Y15F281 (KZ2C00003572, KASE official list, category "debt securities of entities from the quasi-public sector", KEGCb1; KZT1,000, KZT47.5 bn; May 26, 2016 – May 26, 2031; inflation rate-indexed annual coupon, 18.60 % APR for the first coupon period; 30/360) of KEGOC (Astana) was held in KASE trading system today.
ISSUE PARAMETERS: ------------------------------------------------------------------------- Security type: coupon bonds National identification number: KZP01Y15F281 ISIN: KZ2C00003572 KASE trade code: KEGCb1 Face value, tenge: 1,000.00 Issue volume, mln tenge: – registered: 47,500.0 – outstanding: 3,936.1 First circulation date: May 26, 2016 Last circulation date: May 25, 2031 Redemption start date: May 26, 2031 Circulation term: 15 years (5,400 days) Coupon rate: 18.60 % p.a. for the current coupon period Coupon payment periodicity: once a year Coupon payment start date: May 26 annually Time base: 30 / 360 --------------------------------------------- --------------------------- OFFERING TERMS: --------------------------------------------- --------------------------- Trade date: August 15, 2016 Term to maturity: 14.8 years (5,321 days) Declared volume at face value, tenge: 20,755,105,000 Lot size, pieces: 1 Trade subject: "net" price Purchase orders types: market and limited Market order execution ratio, %: 70 Order submission method: closed Order receipt period: 11:30–13:00 Order confirmation period: 11:30–13:30 Striking time: 15:00 Payment date: August 15, 2016 Payment time: before 15:00 (Т+0) Limited order execution method: at prices of limited offset orders equal to the cut-off price or more profitable for the seller Market order execution method: at the weighted average price Order cut-off method: orders are cut-off, whose prices are equal to or below the cut-off price Trades initiator: SkyBridge Invest (Almaty) Trading system sector: Debts_List_ST1 Trading system group: Q_Gov_ST1 --------------------------------------------- --------------------------- OFFERING RESULTS: --------------------------------------------- --------------------------- Volume of orders executed, bonds: 20,755,105 Volume of orders executed, tenge: 21,546,780,806.75 Number of orders executed: 1 Volume of executed orders, % of plan: 100 "Net" price in orders executed, %: 99.7327 Yield of bonds to maturity for buyer, % p.a.: 18.6000 ------------------------------------------------------------------------- According to the Central Securities Depository (Almaty), the deal on this offering by the end of settlements by trade results was executed.
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