肯尼亚以较低的利率筹集了15亿美元的债券,以便在投资者强劲需求的支持下,为债务再融资和提前回购提供资金。
Kenya raised $1.5 billion in bonds at lower rates to refinance debt and fund early buybacks, backed by strong investor demand.
肯尼亚通过新的7年和12年债券筹集了15亿美元,平均利率为8.7%,低于以前的利率,用于为债务再融资和减少未来的偿还压力。
Kenya raised $1.5 billion through new 7- and 12-year bonds with average interest rates of 8.7%, below earlier rates, to refinance debt and reduce future repayment pressures.
收益将为2028年到期的债券的早期回购10亿美元和2027年债券的5.79亿美元提供资金。
Proceeds will fund the early buyback of $1 billion in bonds maturing in 2028 and $579 million from a 2027 bond.
投资者需求强劲,出价超过75亿美元,反映了对肯尼亚债务战略的信心。
Strong investor demand, exceeding $7.5 billion in bids, reflects confidence in Kenya’s debt strategy.
此举是扩大到期日、缓解财政压力、在接近GDP70%的债务水平上支持发展项目的更广泛努力的一部分。
The move is part of a broader effort to extend maturities, ease fiscal strain, and support development projects amid a debt level near 70% of GDP.