OREANDA-NEWS. In accordance with a decision of Kazakhstan Stock Exchange (KASE) Management Board as of July 4, 2016 the following information on bonds KZP02Y03D785 (KZ2C00003184; KASE official list, Other Debt Securities category, KIBNb6; KZT100, KZT5.0 bn; May 19, 2015 – May 19, 2018; semi-annual coupon 8.0 % ARP; 30/360) of Kazinvestbank (Almaty) was changed in KASE trading system and databases as follows:

- national identification number (NIN) was changed from KZP02Y03D785 to KZP02Y15D789;

- bond type changed from unsecured coupon bonds to unsecured subordinated coupon bonds;

- interest rate changed from 8.0% APR to 15.0% APR;

- circulation term changed from three to 15 years.