ISSUE OF KES 3,000,000,000 SUSTAINABILITY FIXED RATE NOTES UNDER THE KES 10,500,000,000 MEDIUM-TERM NOTE PROGRAMME

Kenya Mortgage Refinance Company PLC (KMRC) hereby announces that the Capital Markets Authority (CMA), in exercise of its powers under Section 30(A) of the Capital Markets Act (Chapter 485 of the Laws of Kenya), on 10th January 2022 granted approval to KMRC to offer up to KES 10,500,000,000 under the Medium-Term Note Programme. The issuance of Tranche 2 is made pursuant to the Base Information Memorandum dated 10th January 2022 and the Supplementary Information Memorandum dated 28th April 2026.


Current Offer Details


Summary of the Offering

Issuer Kenya Mortgage Refinance Company PLC
Instrument Sustainability Fixed Rate Notes
Programme Size Kes 10,500,000,000
Tranche 2 Issue Amount Up to Kes 3,000,000,000
Tenor 8 years amortizing, with a Weighted Average Life of 5.10 years.
Redemption/Payment Basis Amortization repayment, at Par.
Form of Notes Dematerialized Notes
Specified Denomination of the Notes Kes 100,000 with integral multiples of Kes 100,000 thereof.

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Closing Date

May 12, 2026 at 05:00 PM