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Bond Issues: Domestic bonds Halyk Bank, 2018-13

Issue information:

• Issuer, issue number: Halyk Bank, 2018-13
• Income calculation:

Date of trades
Price %
• Type of debt instrument: Domestic bonds
• Placement type: Public offering
• Issue status: outstanding
• Par, currency of issue: KZT, 10 000
• Amount: 5 000 000 000
• Outstanding amount: 5 000 000 000
• Registration date: Jun 22 2007
• State registration number: KZP02Y10C592
• ISIN: KZ2C00000396
• Day Count Fraction: 30/360 (30/360 ISDA)
• Start of placement: Nov 06 2008
• Date of circulation start: Nov 06 2008
• Coupon: 13.0%
• Coupon frequency: 2 time(s) per year
• Settlement Date: Nov 06 2008
• Maturity date: Nov 06 2018
• Early redemption terms: In Russian Only
• Trading floor, listing category: KASE, HSBKb13 (Non-rated, first subcategory)
• Investment banks: Market-maker:
Halyk Finance

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, 12 - 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: 109.29/131.74
YTM bid/offer: 11.3%/7.12%
Weighted average price (Feb 13 2012): 120.52
YTM: 9.08%
  • 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 06.05.2009 13 650
2 06.11.2009 13 650
3 06.05.2010 13 650
4 06.11.2010 13 650
5 06.05.2011 13 650
6 06.11.2011 13 650
7 06.05.2012 13 650
8 06.11.2012 13 650
9 06.05.2013 13 650
10 06.11.2013 13 650
11 06.05.2014 13 650
12 06.11.2014 13 650
13 06.05.2015 13 650
14 06.11.2015 13 650
15 06.05.2016 13 650
16 06.11.2016 13 650
17 06.05.2017 13 650
18 06.11.2017 13 650
19 06.05.2018 13 650
20 06.11.2018 13 650 10 000.0




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