Listingrule s


Announcement of forthcoming early redemption of the issuer’s bonds at the discretion of the issuer



Download 0,61 Mb.
bet130/155
Sana25.01.2023
Hajmi0,61 Mb.
#902587
1   ...   126   127   128   129   130   131   132   133   ...   155
Bog'liq
2021-04-23-listing-rules

Announcement of forthcoming early redemption of the issuer’s bonds at the discretion of the issuer



The announcement shall contain the following:

  • the information on the forthcoming event;

  • details of the reasons / grounds of the forthcoming event;

  • the early redemption date;

  • bondholders record date (if applicable)




  • - Within 1 working day after the date of decision on forthcoming early redemption of the issuer’s bonds at the discretion of the issuer and no later 14 days before the early redemption date (if the bonds have a maturity of 30 days or more) or

  • not later than five days before the date of early redemption (if the maturity of bonds is less than 30 days)




in the news feed

Within no less than 12 months since the announcement disclosure period expiration date





Announcement of forthcoming conversion of bonds

The announcement shall contain the following:

  • the information on the forthcoming event;

  • the anticipated conversion date




- At least 14 working days before the anticipated conversion date



in the news feed

Within no less than 12 months since the announcement disclosure period expiration date





Announcement of the issuer’s technical default

The announcement shall contain the following:

  • the nature of the obligation in relation to which default occurred (coupon payment, offer-based buyout, redemption of the par value, etc.);

  • the due date of the obligation;

  • the quantum of the obligations in relation to which default occurred;

  • details of the causes that led to the default on obligations;

  • the issuer technical default start date;

  • the issuer technical default terminal date

- Within 1 working day from the due date of the obligations


in the news feed





Within no less than 12 months since the announcement disclosure period expiration date





Announcement of the issuer’s default

The announcement shall contain the following:

  • the nature of the obligation in relation to which default occurred (coupon payment, offer-based buyout, redemption of the par value, etc.);

  • the due date of the obligation;

  • the quantum of the obligations in relation to which default occurred;

  • details of the causes that led to the default on obligations;

  • the issuer default date.

- Within 1 working day from the technical default terminal date



in the news feed


Within no less than 12 months since the announcement disclosure period expiration date





Announcement of other material events that may impact bonds trading on the Exchange

The announcement shall contain the following:

  • the information on the forthcoming event;

  • the date (anticipated date) of such event;

  • the ground (making a respective decision, taking certain measures etc.) that indicates that the event has happened / is forthcoming;

  • the date when the issuer found out or must have found out about the event (taking place or forthcoming)




- Not later than 1 day since the date when the issuer found out or must have found out about the event taking place



in the news feed





Within no less than 12 months since the announcement disclosure period expiration date





Agreement/contract between the issuer and entity to which the proceeds from the issuer bond placement will be passed over**

The current edition of the agreement/contract text with all the amendments made to it



- Before the bond placement start date (in case the bonds are included in the List in the process of placement);
- not later than on the date following the date of bond inclusion in the List (in case the bonds are included in the List while being traded)

on the Webpage

Until the redemption date of all the issuer’s bonds in relation to which such agreement/contract was concluded




Text of amendments made to the agreement/contract after the bond inclusion in the List



Within 1 day after their coming into force






* Is not applied to the issuers mentioned in Clause 2.3 of the Information Disclosure Rules


** Is applied only to the issuers mentioned in Clause 2.3 of the Information Disclosure Rules



Download 0,61 Mb.

Do'stlaringiz bilan baham:
1   ...   126   127   128   129   130   131   132   133   ...   155




Ma'lumotlar bazasi mualliflik huquqi bilan himoyalangan ©hozir.org 2024
ma'muriyatiga murojaat qiling

kiriting | ro'yxatdan o'tish
    Bosh sahifa
юртда тантана
Боғда битган
Бугун юртда
Эшитганлар жилманглар
Эшитмадим деманглар
битган бодомлар
Yangiariq tumani
qitish marakazi
Raqamli texnologiyalar
ilishida muhokamadan
tasdiqqa tavsiya
tavsiya etilgan
iqtisodiyot kafedrasi
steiermarkischen landesregierung
asarlaringizni yuboring
o'zingizning asarlaringizni
Iltimos faqat
faqat o'zingizning
steierm rkischen
landesregierung fachabteilung
rkischen landesregierung
hamshira loyihasi
loyihasi mavsum
faolyatining oqibatlari
asosiy adabiyotlar
fakulteti ahborot
ahborot havfsizligi
havfsizligi kafedrasi
fanidan bo’yicha
fakulteti iqtisodiyot
boshqaruv fakulteti
chiqarishda boshqaruv
ishlab chiqarishda
iqtisodiyot fakultet
multiservis tarmoqlari
fanidan asosiy
Uzbek fanidan
mavzulari potok
asosidagi multiservis
'aliyyil a'ziym
billahil 'aliyyil
illaa billahil
quvvata illaa
falah' deganida
Kompyuter savodxonligi
bo’yicha mustaqil
'alal falah'
Hayya 'alal
'alas soloh
Hayya 'alas
mavsum boyicha


yuklab olish