Choose region: CIS
  • Poland
  • Emerging Markets
Log in
Sign up

Follow Cbonds

Bond Issues: Domestic bonds Halyk Bank, 10

Issue information:

• Issuer, issue number: Halyk Bank, 10
• Income calculation:

Date of trades
Price %
• Type of debt instrument: Domestic bonds
• Type of bonds: Coupon bonds
• Form of issue: Registered non-documentary bonds
• Subordinated debt: Yes
• Placement type: Public offering
• Issue status: outstanding
• Type of placement: public
• Par, currency of issue: KZT, 10 000
• Amount: 5 000 000 000
• Outstanding amount: 4 470 000 000
• State registration number: KZPC7Y10B193
• ISIN: KZ2C00000362
• Day Count Fraction: 30/360 (30/360 ISDA)
• Start of placement: Nov 02 2005
• End of placement: Nov 02 2005
• Date of circulation start: Dec 12 2005
• Coupon: Inflation
• Coupon frequency: 2 time(s) per year
• Floating rate: Yes
• Reference rate: Kazakhstan CPI
• Cup: 9
• Floor: 3
• Settlement Date: Nov 02 2005
• Maturity date: Nov 02 2015
• Trading floor, listing category: KASE, HSBKb10 (Non-rated, first subcategory)
RFCA, aHSBKb10 (C)
• Investment banks: Underwriter:
Halyk Bank

Borrower:

• Issuer:Halyk Bank
• Full issuer name:Joint Stock Company "Narodny Bank of Kazakhstan"
• Country:Kazakhstan
• Web site:http://www.halykbank.kz/
• Other issues of the issuer:  Halyk Bank, 17 - Domestic bonds
 Halyk Bank, 16 - Domestic bonds
 Halyk Bank, 15 - Domestic bonds
 Halyk Bank, 2014-14 - Domestic bonds
 Halyk Bank, 2018-13 - Domestic bonds
All issues of the issuer
• Industry:Banks and financial institutions
Issuer ratings: » rating history

Moody's Investors Service Ba2/Stable Int. Scale (foreign curr) 25.08.2010
Moody's Investors Service Ba2/Stable Int. Scale (loc. curr.) 25.08.2010
Standard & Poor's BB/Stable Int. Scale (foreign curr.) 12.12.2011
Standard & Poor's BB/Stable Int. Scale (loc. curr.) 12.12.2011
Fitch Ratings BB-/Stable Int. Scale (foreign curr.) 26.04.2011
Fitch Ratings BB-/Stable Int.l Scale (local curr.) 26.04.2011

Complete profile

Trading info:

KASE

Quote bid/offer: 93.76/106.72
Weighted average price (Feb 10 2012): 100.24
  • Archive review is available only for subscribers ""Cbonds-PRO CIS Eng", "Cbonds-Premium"".
Trading info, archive >>>

Payment schedule:

# Date Coupon, % p.a. Coupon size, KZT Par redemption, KZT
1 02.05.2006 7.75 387.50
2 02.11.2006 6.1 305
3 02.05.2007 6.8 340
4 02.11.2007 7.3 365
5 02.05.2008 6 300
6 02.11.2008 6 300
7 02.05.2009 6 300
8 02.11.2009 6.2 310
9 02.05.2010 9.2 460
10 02.11.2010 7.9 395
11 02.05.2011 7.7 385
12 02.11.2011 6.6 330
13 02.05.2012 7 350
14 02.11.2012
15 02.05.2013
16 02.11.2013
17 02.05.2014
18 02.11.2014
19 02.05.2015
20 02.11.2015 10 000.0




New search



Rambler's Top100