27.01.2015, 16:50
Bonds KZP01Y10E830, KZP02Y09E830 and KZP03Y08E830 of Kaspi Bank included in KASE official list's Other Debt Securities category as of January 27
OREANDA-NEWS. As was announced earlier, following a decision of Kazakhstan Stock Exchange (KASE) Listing Commission of January 23, 2015, the following bonds of Kaspi Bank JSC (Almaty) were included in the Other Debt Securities category of KASE official list:
- KZP01Y10E830 (KZ2C00003010, KZT100, KZT50.0 bn; January 27, 2015 – January 27, 2025; fixed semi-annual coupon, 9.9 % APR; 30/360);
- KZP02Y09E830 (KZ2C00003028, KZT100, KZT50.0 bn; January 27, 2015 – January 27, 2024; fixed semi-annual coupon 9.8 % APR; 30/360);
- KZP03Y08E830 (KZ2C00003036, KZT100, KZT50.0 bn; January 27, 2015 – January 27, 2023; fixed semi-annual coupon 9.7 % APR; 30/360).
The Listing Commission decision is effective as of January 27, 2015 after the named issuer fulfills terms set in sub-item 2) of item 1 of article 18 of KASE internal document "Listing Rules".
Centras Securities JSC (Almaty) is the representative of holders of the said bonds.
The said bonds were assigned abbreviations (trade codes) CSBNb15, CSBNb16 and CSBNb17 respectively.
- KZP01Y10E830 (KZ2C00003010, KZT100, KZT50.0 bn; January 27, 2015 – January 27, 2025; fixed semi-annual coupon, 9.9 % APR; 30/360);
- KZP02Y09E830 (KZ2C00003028, KZT100, KZT50.0 bn; January 27, 2015 – January 27, 2024; fixed semi-annual coupon 9.8 % APR; 30/360);
- KZP03Y08E830 (KZ2C00003036, KZT100, KZT50.0 bn; January 27, 2015 – January 27, 2023; fixed semi-annual coupon 9.7 % APR; 30/360).
The Listing Commission decision is effective as of January 27, 2015 after the named issuer fulfills terms set in sub-item 2) of item 1 of article 18 of KASE internal document "Listing Rules".
Centras Securities JSC (Almaty) is the representative of holders of the said bonds.
The said bonds were assigned abbreviations (trade codes) CSBNb15, CSBNb16 and CSBNb17 respectively.
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