Issuer | Freedom Finance SPC Ltd. | ||||
Guarantor | Freedom Holding Corp. | ||||
Tranche number | 1 | ||||
Type and name | Guaranteed 5,5% coupon Bonds of Freedom Finance SPC Ltd. | ||||
ISIN | KZ000000815 | ||||
Currency | U.S. Dollars (U.S.$) | ||||
Nominal Value | U.S.$ 100,000 | ||||
Quantity | 660 Bonds | ||||
Aggregate nominal amount of Bonds | U.S.$66,000,000 | ||||
Issue price | The Issue Price of the Bonds at the Issue Date is expected to be 100% of the Nominal Value | ||||
Issue Date | 21 October 2021 | ||||
The offer period opening date | 21 October 2021 | ||||
Interest Commencement Date | The interest on Bonds shall start to accrue as from the date when Bond starts on the Issue Date. The interest shall accrue during the entire period of the circulation of the Bonds and shall end on October 21, 2026. | ||||
The offer period closing date | The offer period will close upon expiration of 12 months from the date on which the Offer Terms of the Bonds is approved by AIX. | ||||
Maturity Date | 21 October 2026 | ||||
Rate of Interest | 5,5% per annum payable semi-annually in arrear | ||||
Interest Payment Dates | 21 April and 21 October in each year, commencing on 21 April 2022 If the date of payment of the principal debt or coupon interest fails on a weekend or holiday, the Issuer undertakes to pay the interest or principal debt on the next business day. | ||||
Estimated expenses | Fees associated with admission of the Bonds to the Official List of the AIX and to trading on the AIX pursuant to the AIX Fee Schedule. | ||||
Estimated net amount of proceeds of the Tranche | The net proceeds from the issuance are expected to amount to approximately U.S.$ 66,000,000. | ||||
Use of proceeds | The proceeds received by the Issuer from the issue of the Bonds shall be transferred to the parent company Freedom Holding Corp. by way of signing the loan agreement, which intend to use the net proceeds of the offering for the following purposes • partial repayment or refinancing of debt; • purchases of investment grade debt instruments of quasi-governmental entities; • business expansion through mergers and acquisitions; and • working capital. | ||||
Potential investors | The Bonds will be publicly offered to Accredited Investors only, in compliance with the applicable laws of the AIFC and the AIX rules. | ||||
Advisors to the Issuer | The Issuer appointed Freedom Finance Global PLC as a financial consultant in connection with this offering. |
Coupon period sequence number | Coupon period commencement date | Coupon period expiry date | Register closing date (Record Date) 23:59:59 time | Interest payment commencement date | Interest payment expiry date | ||||||||||||
1 | 21 October 2021 | 20 April 2022 | 20 April 2022 | 21 April 2022 | 1 May 2022 | ||||||||||||
2 | 21 April 2022 | 20 October 2022 | 20 October 2022 | 21 October 2022 | 31 October 2022 | ||||||||||||
3 4 | 21 October 2022 21 April 2023 | 20 April 2023 20 October 2023 | 20 April 2023 20 October 2023 | 21 April 2023 21 October 2023 | 1 May 2023 31 October 2023 | ||||||||||||
5 | 21 October 2023 | 20 April 2024 | 20 April 2024 | 21 April 2024 | 1 May 2024 | ||||||||||||
6 | 21 April 2024 | 20 October 2024 | 20 October 2024 | 21 October 2024 | 31 October 2024 | ||||||||||||
7 | 21 October 2024 | 20 April 2025 | 20 April 2025 | 21 April 2025 | 1 May 2025 | ||||||||||||
8 | 21 April 2025 | 20 October 2025 | 20 October 2025 | 21 October 2025 | 31 October 2025 | ||||||||||||
9 | 21 October 2025 | 20 April 2026 | 20 April 2026 | 21 April 2026 | 1 May 2026 | ||||||||||||
10 | 21 April 2026 | 20 October 2026 | 20 October 2026 | 21 October 2026 | 31 October 2026 |