Choose region:
CIS
Poland
Emerging Markets
EM Eurobonds
CIS Bonds
Loans.Cbonds
Conferences
Latest news:
EM returns to Swissies as REC, KNOC find warm welcome; Sberbank up next
»
Main
Market news
Bond issues database
Bond quotes
OTC, Exchanges
Market players
Research and analytics
Indexes
Bond calculator
Bond calendar
Defaults database
Ratings
CBR Refinancing lists
Financial reports
League tables
Cbonds pages
Cbonds awards
Cbonds polls
Glossary
About the site
Cbonds database
Subscription
Bond search
Log in
Sign up
Remember
Forgot?
Enter
Follow Cbonds
Bond Issues: Domestic bonds Temirbank, 2012-6
Ðóññêèé
English
Issue information:
• Issuer, issue number:
Temirbank, 2012-6
• Type of debt instrument:
Domestic bonds
• Placement type:
Public offering
• Issue status:
outstanding
• Par, currency of issue:
1
KZT, 1
• Amount:
4 000 000 000
• Outstanding amount:
3 976 000 000
• Registration date:
Dec 08 2005
• State registration number:
KZP01Y17B559
• ISIN:
KZ2C00000032
• Day Count Fraction:
30/360 (30/360 ISDA)
• Start of placement:
Dec 30 2005
• End of placement:
Dec 30 2005
• Date of circulation start:
Dec 30 2005
• Coupon:
10.00%
• Floating rate:
Yes
• Reference rate:
Kazakhstan CPI
• Settlement Date:
Dec 30 2005
• Maturity date:
Dec 30 2012
• Issue Managers:
Advisor: OAO "First Broker House"
Underwritten by itself
• Trading floor, listing category:
KASE, TEBNb6 (Buffer category)
• Additional information:
mortgage bonds
• Investment banks:
Underwriter:
Temirbank
Financial advisor:
Alan Securites
Borrower:
• Issuer:
Temirbank
• Full issuer name:
Open Joint Stock Company "Temirbank"
• Country:
Kazakhstan
• Web site:
http://www.temirbank.kz/
• Other issues of the issuer:
Temirbank, 2022 (Restruct) - Eurobonds
Temirbank, 18 - Domestic bonds
Temirbank, 13 - Domestic bonds
Temirbank, 2010-12 - Domestic bonds
Temirbank, 13 - Domestic bonds
All issues of the issuer
• Issuer profile:
Temirbank was founded on March 26 1992 with a head office in Almaty. The majority of its clients are small and medium-sized businesses operating in the sector of import, wholesale and farming. The ban ...
• Industry:
Banks and financial institutions
Issuer ratings
:
» rating history
Moody's Investors Service
Withdrawn
Int. Scale (foreign curr)
21.09.2009
Moody's Investors Service
Withdrawn
Int. Scale (loc. curr.)
21.09.2009
Standard & Poor's
B/Stable
Int. Scale (foreign curr.)
04.10.2010
Standard & Poor's
kzBB
National Scale (Kazakhstan)
04.10.2010
Standard & Poor's
B/Stable
Int. Scale (loc. curr.)
04.10.2010
Fitch Ratings
Withdrawn
Int. Scale (foreign curr.)
18.07.2011
Fitch Ratings
Withdrawn
Int.l Scale (local curr.)
18.07.2011
Complete profile
Trading info:
KASE
Quote bid/offer:
66.95/86.9
Weighted average price (Feb 13 2012):
76.92
Archive review is available only for subscribers ""Cbonds-PRO CIS Eng", "Cbonds-Premium"".
Trading info, archive >>>
New search