KMGZb2 – coupon bonds KZ2C0Y10D596 (KZ2C00000156) of National company "KazMunayGaz" JSC

Current coupon rate, % APR: 11.352
Days to maturity: 124
Circulation period: 10/30/09 – 10/29/19

Characteristics:

Instrument
Trading codeKMGZb2
List of securitiesofficial, main board, category "bonds"
Quotation currencyKZT
Trade lists admission date10/27/09
Trade opening datetrades unopened
Security
Bond's nameindexed coupon bonds
CFIDBVUAR
NSINKZ2C0Y10D596
ISINKZ2C00000156
BBGIDBBG0000R11L2
Current coupon rate, % APR11.352
Bond credit ratingsMoody's Investors Service: Baa3 (08/01/17)
Fitch Ratings: http://www.fitchratings.com
Currency of issue and serviceKZT
Nominal value in issue's currency1,000
Number of registered bonds120,000,000
Issue volume, KZT120,000,000,000
Number of bonds outstanding8,000,000
Issue's number in state registerD59
Issue registration date09/25/09
Indexation methodby KZT devalvation
Indexation essenceindexed nominal bond value is calculated as a product of the nominal bond value and tenge/US dollar devaluation / revaluation rate.
Indexation's currencyUSD
Base rate of indexation150.74
Coupon rate typefloating
Float descriptioncoupon interest is calculated as a product of indexed nominal bond value and coupon interest rate defined according to formula r = i + m, where r – annual coupon interest rate on bonds, i – 6-month LIBOR rate (details in the issue prospectus), m – fixed annual margin.
Fixed margin, % APR8.500
Settlement basis (days in month / days in year)30 / 360
Date of circulation start10/30/09
Circulation term, years10
Date of the previous coupon payment01/18/19
Number of days till nearest coupon payment24
Registry fixation date of the nearest coupon payment07/18/19
Date of the next coupon payment07/19/19
Coupon payment scheduleview schedule
Register fixation date at maturity10/28/19
Principal repayment date10/29/19
Order of prescheduled maturitybased on the Board of Directors decision, provided all holders submitted written accords. The notification on early redemption must be issued 50 business days before the regular coupon interest payment. The issuer must redeem the principal indexed to nominal, accrued coupon interest (collectively 'Redemption') and commission fee for early redemption at a rate equal to or exceeding 2 % of the sum subject to redemption.
RegistrarCentral securities depository JSC (Almaty)
Notemandatory partial buyback of bonds is carried out by the Issuer, starting from July 19, 2012, with as many as 8,000,000 pieces bought back each time.


Notes: As a data source KASE uses opened (public) information of rating agencies or notifications from the issuer or admission initiator (depending on from which source data obtained most quickly). The date of the last known update (assignment, modification, confirmation or withdrawal) of the rating value is indicated in parentheses.

Instruments of National company "KazMunayGaz" JSC included into trade lists

Trade code NIN or ISIN Board Sector Category Trades Index
KMGZKZ1C49280015
KZ1C00001122
mainsharesstandard08/03/15
KMGZb2KZ2C0Y10D596
KZ2C00000156
maindebt securitiesbondsno trade
KMGZe6XS0925015074
US46639UAA34
maindebt securitiesbonds07/10/13
KMGZe10XS1595713279
US48667QAM78
maindebt securitiesbonds07/01/17
KMGZe11XS1595713782
US48667QAN51
maindebt securitiesbonds07/01/17
KMGZe12XS1595714087
US48667QAP00
maindebt securitiesbonds07/01/17
KMGZe13XS1807299174
US48667QAR65
maindebt securitiesbonds06/01/18
KMGZe14XS1807300105
US48667QAQ82
maindebt securitiesbonds06/01/18
KMGZe15XS1807299331
US48667QAS49
maindebt securitiesbonds06/01/18
KMGZe6_USDXS0925015074
US46639UAA34
maindebt securitiesоблигации07/10/13
KMGZe10_USDXS1595713279
US48667QAM78
maindebt securitiesоблигации07/01/17
KMGZe11_USDXS1595713782
US48667QAN51
maindebt securitiesоблигации07/01/17
KMGZe12_USDXS1595714087
US48667QAP00
maindebt securitiesоблигации07/01/17
KMGZe13_USDXS1807299174
US48667QAR65
maindebt securitiesоблигации06/01/18
KMGZe14_USDXS1807300105
US48667QAQ82
maindebt securitiesоблигации06/01/18
KMGZe15_USDXS1807299331
US48667QAS49
maindebt securitiesоблигации06/01/18


KMGZb2 bonds emitter information

Short nameNational company "KazMunayGaz" JSC
Capitalization:the total market value of shares of the company traded on KASE – KZT7,832,653.04 m. ($20,687.37 m.)
Contacts19 Kabanbai Batyr ave., Esil district , Astana, 010000, Republic of Kazakhstan
(7172) 78 61 58, 78 62 15
Internethttp://www.kmg.kz/
E-mailаstana@kmg.kz
Primary activitycarrying out oil operations on blocks awarded to the company on the basis of direct negotiations; technological monitoring of oil and gas development; oil and gas transportation services by all means of transport.


Last 10 news about National company "KazMunayGaz" JSC for last 4 months

Username:
Password:
Loading
Loading