15 March 2025, 22:02
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26.02.2025 16:19 #Trading information

On February 28, a subscription for bonds KZ2C00013472 (CCBNb37) of Bank CenterCredit will be held on KASE

/KASE, February 26, 2025/ – Kazakhstan Stock Exchange (KASE) announces that on February 28, 2025, an initial offering of bonds KZ2C00013472 (KASE main market, category "commercial bonds", CCBNb37) of Bank CenterCredit JSC (Almaty) will be conducted in KASE's trading system by way of subscription to them on the conditions below (Astana time).

Bank CenterCredit JSC (Almaty) (hereinafter – the Seller) acts as the seller during the subscription to these bonds.

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Type of securities:                  discount bonds              
ISIN:                                KZ2C00013472                
KASE trade code:                     CCBNb37                     
Face value, US dollar:               10,000                      
Issue volume, US dollar:                                         
– registered:                        50,000,000                  
– placed (at par):                   –                           
Circulation start date:              date of the first successful
                                     trading session on          
                                     placement of bonds          
Circulation last day:                will be determined later    
Repayment start date:                will be determined later    
Maturity:                            270 days                    
Time base:                           30 / 360                    
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Subscription date:                   28.02.25                    
Nominal placement volume, US dollar: 50,000,000                  
Type of purchase order:              limit                       
Order collection time:               10:00–11:00                 
Date and time of transactions:       28.02.25, 12:00             
Date and time of settlements:        28.02.25, 13:00             
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According to the terms of this subscription, the list of additional information about the investor disclosed to the Seller of the specified bonds includes the following information:

1) last name, first name, patronymic (if any) of an individual or name of a legal entity;

2) IIN of an individual or BIN of a legal entity;

3) citizenship of an individual or state, in accordance with the legislation of which the legal entity was registered as a legal entity.

Orders for participation in the subscription are submitted only through KASE members of the "stock" category. The full list of KASE members by category is available at see more

Settlements are carried out by Central Securities Depository JSC.

The Rules for subscription to securities are available at see more

More detailed information about the issue of these bonds is available at see more

[2025-02-26]