OREANDA-NEWS. On December 22, 2008 Bank CenterCredit (Almaty) informed in a letter to Kazakhstan Stock Exchange (KASE) that the bank pays the second coupon to holders of bonds KZP11Y15B651 (KASE official list, the first subcategory of the Non-rated debt securities category, CCBNb18; KZT100, KZT5.0 bn., 05.12.07 - 05.12.22, semiannual coupon indexed on inflation rate 13.00 % APR as for the accounting period), reported the press-centre of KASE.

According to the issuer, the sum of payment reached KZT325,000,000.00.

Assuming the indicated sum of coupon payment as on the register fixing date (04.12.08) all registered bonds KZP11Y15B651 were circulating.