Admitting bonds of BTA Bank to placement and trading
Admitting bonds of BTA Bank to placement and trading

BCSE informs that in accordance with BTA Bank’s announcement as of 28.08.2020 No 08-16/4655, and with the BCSE Listing rules approved by the BCSE  Board (Minutes No. 25 as of 14.05.2020):

1. BTA Bank’s bonds with the following parameters have been admitted to placement at the BCSE in a forward and continuous double auction modes:

No

Issuer

Kind and type of securities

Issue code

Period of placement

1

BTA Bank, CJSC

inscribed, interest, book-entry bonds

BY52642С8240

03.09.2020 - 04.08.2024

2

BTA Bank, CJSC

inscribed, interest, book-entry bonds

BY52642С8257

03.09.2020 - 04.08.2024

2. Bonds with the following parameters have been admitted to trading at the BCSE and included into the list of unlisted securities:

No

Issuer

Kind and type of securities

Issue code

Period of trading

1

BTA Bank, CJSC

inscribed, interest, book-entry bonds

BY52642С8240

17.06.2020 -  12.06.2026

2

BTA Bank, CJSC

inscribed, interest, book-entry bonds

BY52642С8257

17.06.2020 -  12.06.2026

3. The BCSE trading system will provide a centralized calculation of indicators of profitability, current value, values of accumulated interest (coupon) income and other value indicators and indicators required for making transactions with the above mentioned bonds.

Tags: Listing News