Issue information:
| • Issuer, issue number: |
Astana-finance, 2016-11 |
| • Type of debt instrument: |
Domestic bonds |
| • Placement type: |
Public offering |
| • Issue status: |
outstanding |
| • Par, currency of issue: |
100
KZT, 100
|
| • Amount: |
10 000 000 000 |
| • Outstanding amount: |
5 051 578 800 |
| • Registration date: |
Sep 22 2006 |
| • State registration number: |
KZPC1Y10C202 |
| • Day Count Fraction: |
30/360 (30/360 ISDA) |
| • Start of placement: |
Sep 28 2006 |
| • End of placement: |
Sep 28 2006 |
| • Date of circulation start: |
Sep 28 2006 |
| • Coupon: |
7.5% |
| • Coupon frequency: |
2 time(s) per year |
| • Settlement Date: |
Sep 28 2006 |
| • Maturity date: |
Sep 28 2016 |
| • Early redemption terms: |
In Russian Only |
| • Issue Managers: |
Market-maker: AO "Brokerage Company Astana-Finance", underwriter: no provided |
| • Trading floor, listing category: |
KASE, ASFIb11 (Delisted securities) RFCA (C) |
| • Additional information: |
no subordinated debt |
| • Investment banks: |
Underwriter: Astana-finance
Market-maker: Astana-finance
|
|
Borrower:
|