KCC reports issuance of 410 billion won in short-term bonds and CP for debt repayment
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KCC filed a securities issuance report
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Total issuance: 410 billion won (short-term bonds: 270 billion won + CP: 140 billion won)
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Use of proceeds: repayment of existing debt (refinancing)
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Interest rates: short-term bonds 2.81%~3.43%, CP 3.75%
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Maturity: Feb-Mar 2026 (short-term)
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Assessment: routine capital raising, limited impact on stock price
KOSPI Filing Information
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Filing: Securities Issuance Performance Report
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Company: KCC (002380)
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Submission: KCC Corporation
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Receipt: 02-02-2026