2019-12-12_02_Market Notice AIX New Listings Debt Board

2019-12-12_02_Market Notice AIX New Listings Debt Board

Market Notice AIX New Listings Debt Board pdf

AIX hereby informs Market Participants and Custodians that the first day of trading for the Exchange Traded Note (“ETN”) of iX Global Emerging Markets Bonds SPC Limited will be on 13 December 2019, as follows:

Security Name iX Global Emerging Markets Bonds
Symbol IXB
ISIN KZX000000252
Board DEBT
Instrument Type ETN
Currency USD
Country Kazakhstan
Issuer iX Global Emerging Markets Bonds SPC Limited
Original Issued Quantity 34 310
Issued Quantity 34 310
Tradable Quantity 34 310
Issue Date 05 December 2019
First day of trading 13 December 2019
Issue Price 5.67
Tick Size Table 0.01
Trading Volatility Band 5%
Maturity Date 5 December 2029
NAV The price will be provided daily before the start of the trading session
Trading Timetable

12:00 Pre-opening

12:30 Opening Auction / Continuous Trading

16:45 Pre-close

17:00 Closing Auction / Trading-At-Last

17:20 Market Close

Market Participants and Custodians should note that the Net Asset Value (NAV) will be provided on the dedicated market watch for ETP instruments on a daily basis.

Please contact AIX Market Operations Department by phone, +77172 64 73 00, or email, [email protected], for additional trading information.

Please contact AIX CSD by phone, +77172 23 53 02/ + 77172 23 53 79, or email, [email protected], for additional settlement information.