Kaspi Bank announces offering on KASE from April 20 to 30 of bonds KZP01Y10E830 (KZ2C00003010, CSBNb15)
... from April 20 to April 30, 2015 trades will be conducted in KASE trading
system (open trades method) for offering of coupon bonds of the first issue
under the third bond program of KASPI BANK JSC (CSBNb15, KZP01Y10E830, KASE
official list, category "other debt securities", KZT100.0, KZT50.0 bn;
January 27, 2015 – January 27, 2025; 30/360).
The market-maker of the mentioned bonds is IFH RESMI JSC (Almaty). During the trades the issues proposes to place 450,000,000 bonds KZP01Y10E830 (90 % of the total of registered bonds), at a yield of 9.9 % APR.
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