Tsesnabank bonds of five issues included in KASE official list's Rated Debt Securities category as of December 26
- KZP01Y07E760 (KZ2C00002905, KZT1, KZT30.0 bn; 7 years, fixed semi-annual
coupon 9.00 % APR, 30/360);
- KZP02Y08E766 (KZ2C00002913, KZT1, KZT30.0 bn; 8 years, fixed semi-annual
coupon 9.25 % APR, 30/360);
- KZP03Y09E762 (KZ2C00002921, KZT1, KZT30.0 bn; 9 years, fixed semi-annual
coupon 9.50 % APR, 30/360).
- KZP04Y10E768 (KZ2C00002939, KZT1, KZT30.0 bn; 10 years, fixed semi-annual
coupon 9.75 % APR, 30/360);
- KZP05Y10E765 (KZ2C00002947, KZT1, KZT20.0 bn; 10 years, fixed semi-annual
coupon 9.75 % APR, 30/360).
The Listing Commission' decision effective date is December 26, 2014 after the
mentioned issuer fulfilled terms of sub-item 2 of item 1 of article 18 of KASE
internal document "Listing Rules".
Opening of trades in these bonds on KASE will be announced later.
Private Asset Management JSC (Almaty) is the representative of holders of the
mentioned bonds.
The mentioned bonds were assigned abbreviations (trade codes) TSBNb26, TSBNb27,
TSBNb28, TSBNb29 and TSBNb30 accordingly.
More details on issues of the mentioned bonds will be released on KASE
website soon at http://www.kase.kz/en/emitters/show/tsbn
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