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Kazakhstan 5.125% 2025-07 USD

New bond issue: Kazakhstan issued new debt notes (XS1263054519) (144A: US486661AG60, 486661AG6) for 2.5B USD as of July 14, 2015.

IssuerKazakhstan
Bond TypeGovernmental
CategorySenior
Maturity DateJuly 21, 2025
Residual Duration4 years, 7 months, 18 days
CurrencyUSD (United States Dollar)
Coupon TypeFixed Rate
Coupon (Yearly)5.125%
Coupon FrequencySemiannual
Minimum Lot200,000 USD
Additional Lots1,000 USD
Issue DateJuly 21, 2015
Issued Amount2,500,000,000 USD
Issue Price98.980%
Maturity Price100.000%
Issuer RatingBBB- (S&P), Baa3 (Moody's), BBB (Fitch)
Home ExchangeLondon
Other ExchangesFrankfurt, Berlin, Stuttgart, TRACE
IsinXS1263054519
Isin 144AUS486661AG60 (144A)
Cusip 144A486661AG6 (144A)
IndustryStates
SectorGovernments
CountryKazakhstan
RegionEmerging Markets


Bonds, Governmental, Governments, States, Emerging Markets, Kazakhstan, USD, Fixed Rate, Income


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