Bonds of MFO "Mogo Kazakhstan" of six issues passed listing procedure on KASE in "bonds" category of alternative market
08.05.25 16:05
/KASE, May 8, 2025/ – On May 8, 2025, the Listing commission of Kazakhstan
Stock Exchange (KASE) made a decision to include the following bonds of MFO
"Mogo Kazakhstan" LLP (Almaty) in the "bonds" category of KASE official list's
alternative market:
1) KZ2P00013154 (1,000 tenge, 5.0 bn tenge; 2 years; monthly coupon, 22.00
% per annum; 30/360), trading code – MFMOb23;
2) KZ2P00013212 (1,000 tenge, 5.0 bn tenge; 2 years; monthly coupon, 22.00
% per annum; 30/360), trading code – MFMOb24;
3) KZ2P00013220 (1,000 tenge, 5.0 bn tenge; 2 years; monthly coupon, 22.00
% per annum; 30/360), trading code – MFMOb25;
4) KZ2P00013204 ($100, $5.0 mln; 2 years; monthly coupon, 12.00 % per
annum; 30/360), trading code – MFMOb26;
5) KZ2P00013345 ($100, $5.0 mln; 2 years; monthly coupon, 12.00 % per
annum; 30/360), trading code – MFMOb27;
6) KZ2P00013352 ($100, $5.0 mln; 2 years; monthly coupon, 12.00 % per
annum; 30/360), trading code – MFMOb28.
The Listing committee decision's effective date will be announced later.
The opening of trading in the specified bonds on KASE will also be announced
additionally.
Issues of bonds KZ2P00013154, KZ2P00013212 and KZ2P00013220 are the
first, second and third under the third bond program of MFO "Mogo Kazakhstan"
LLP, registered on January 16, 2025 in the amount of 50.0 bn tenge.
Issues of bonds KZ2P00013204, KZ2P00013345 and KZ2P00013352 are the
first, second and third under the fourth bond program of MFO "Mogo Kazakhstan"
LLP, registered on January 22, 2025, in the amount of 100.0 mln US dollars.
More detailed information on the specified bond issues will be published on
KASE website after this decision of the Listing commission comes into effect.
[2025-05-08]