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Bond Issues: Domestic bonds Khreschatyk Bank, 1-G

Issue information:

• Issuer, issue number: Khreschatyk Bank, 1-G
• Income calculation:

Date of trades
Price %
• Type of debt instrument: Domestic bonds
• Type of bonds: Coupon bonds
• Placement type: Public offering
• Issue status: outstanding
• Type of placement: public
• Par, currency of issue: UAH, 1 000
• Amount: 140 000 000
• Registration date: Sep 14 2007
• State registration number: 578/2/07-T
• ISIN: UA4000019681
• Day Count Fraction: Actual/365 (Actual/365F)
• Start of placement: Nov 01 2007
• End of placement: May 01 2008
• Coupon: 17%
• Coupon frequency: 4 time(s) per year
• Settlement Date: Nov 01 2007
• Maturity date: Jan 24 2013
• Issue Managers: By itself
• Trading floor, listing category: PFTS, OBXRG (Listing level 0)
Ukrainian Exchange, BXRK07
• Issue ratings: (rating history)
Fitch Ratings BBB-(ukr)/Stable National Scale (Ukraine) 25.10.2007

Borrower:

• Issuer:Khreschatyk Bank
• Full issuer name:Public joint-stock company Commercial Bank "Khreschatyk"
• Country:Ukraine
• Web site:http://www.xcitybank.com.ua
• Other issues of the issuer:  Khreschatyk Bank, 1-I - Domestic bonds
 Khreschatyk Bank, 1-H - Domestic bonds
 Khreschatyk Bank, 1-F - Domestic bonds
 Khreschatyk Bank, 1-Å - Domestic bonds
 Khreschatyk Bank, 1-D - Domestic bonds
All issues of the issuer
• Industry:Banks and financial institutions
Issuer ratings: » rating history

Moody's Investors Service Withdrawn National Scale (Ukraine) 01.02.2010
Moody's Investors Service Withdrawn Int. Scale (foreign curr) 01.02.2010
Moody's Investors Service Withdrawn Int. Scale (loc. curr.) 01.02.2010
Fitch Ratings B-/Stable Int. Scale (foreign curr.) 13.08.2010
Fitch Ratings B-/Stable Int.l Scale (local curr.) 13.08.2010
Fitch Ratings BBB-(ukr)/Stable National Scale (Ukraine) 13.08.2010
Credit-Rating uaA/Stable National Scale (Ukraine) 15.09.2011

Complete profile

Early redemption terms:

Included

Date Type Price Status
30.10.2008 put 100 Settled
29.10.2009 put 100 Settled
28.10.2010 put 100 Settled
27.10.2011 put 100 Settled
25.10.2012 put 100

Payment schedule:

# Date Coupon, % p.a. Coupon size, UAH Par redemption, UAH Notes
1 31.01.2008 11.5 28.67
2 01.05.2008 11.5 28.67
3 31.07.2008 11.5 28.67
4 30.10.2008 11.5 28.67
5 29.01.2009 16 39.89
6 30.04.2009 16 39.89
7 30.07.2009 16 39.89
8 29.10.2009 16 39.89
9 28.01.2010 18 44.88
10 29.04.2010 18 44.88
11 29.07.2010 18 44.88
12 28.10.2010 18 44.88
13 27.01.2011 17 42.38
14 28.04.2011 17 42.38
15 28.07.2011 17 42.38
16 27.10.2011 17 42.38
17 26.01.2012 15.5 38.64
18 26.04.2012 15.5 38.64
19 26.07.2012 15.5 38.64
20 25.10.2012 15.5 38.64
21 24.01.2013 1 000.0 The rate is set by issuer




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