Bond Issuance Program
I - Bond Issuance Program - 27 May 2019
Bonds were issued under the bond issuance program in the amount PLN 4 000 000 000 based on an issue agreement entered into on 27 May 2019 between KGHM Polska Miedź S.A. and the following banks: Bank Handlowy w Warszawie S.A., Bank Polska Kasa Opieki S.A., Powszechna Kasa Oszczędności Bank Polski S.A. and Santander Bank Polska S.A. („Bond Issuance Program”). Under the Bond Issuance Program, bonds of series A and B were issued.
The issue was a private placement, restricted to investors in the Republic of Poland.
Issuer's name | KGHM Polska Miedź S.A. |
Catalyst markets | GPW ATS, BS ATS1) |
Type of instrument | Bearer bonds series A and B |
Issue value | PLN 2 000 000 000 |
Type of offer | private placement/non-public |
Coupon Series A bonds: Series B bonds: |
WIBOR6M plus a margin of 1.18% WIBOR6M plus a margin of 1.65% |
Security | none |
1) GPW Alternative Trading System (or ASO GPW), BondSpot Alternative Trading System (or BS ASO)
Details regarding the issued bonds
Series A bonds | Series B bonds | |
Date of allocation | 27 June 2019 | 27 June 2019 |
Number of bonds offered | 400 000 | 1 600 000 |
Number of bonds allocated | 400 000 | 1 600 000 |
Nominal value | PLN 1 000 | PLN 1 000 |
Issue value | PLN 1 000 | PLN 1 000 |
Total issue value | PLN 400 000 000 | PLN 1 600 000 000 |
Coupon | WIBOR6M plus an annual margin of 1.18% | WIBOR6M plus an annual margin of 1.65% |
Precedence | none | none |
Financial covenants | none | none |
Maturity | 27 June 2024 | 27 June 2029 |
The purpose of the issue | not stated | not stated |
Documents (in Polish only) |
Information Note Series A |
Information Note Series B |
Debut on Catalyst | 3 October 2019 | 3 October 2019 |
ATS codes | KGH0624 | KGH0629 |
Bonds quotes
Information on the listing of bonds in the ATS, including a yield calculator, is available on the Catalyst website, in particular:
II - Bond Issuance Program - 29 May 2024
Regulatory filing of 14 June 2024
Documents (in Polish only) | Interest table (1st period) |
Senior notes of KGHM INTERNATIONAL LTD.
On 15 June 2015 the 7.75% Senior Notes issued by Quadra Mining Ltd. (now KGHM INTERNATIONAL LTD.) in a private placement in 2011 in the principal amount of $500m were redeemed in full. KGHM INTERNATIONAL LTD. has exercised the option for early redemption of the Senior Notes in whole at their nominal price plus a premium of 3.875%.
Further information on the redemption of the senior notes was provided in regulatory filing numbers 19/2015 and 19/2015.
Click here to see the archival reports and presentations of KGHM INTERNATIONAL.