OREANDA-NEWS. As announced earlier, a special trading session for offering of bonds KZP03Y07D701 (KZ2C00003069, KASE official list, category "Other Debt Securities", KKGBb11; KZT1,000, KZT100.0 bn; January 14, 2015 – January 14, 2022; fixed annual coupon, 8.750 % APR; 30/360) of Kazkommertsbank JSC (Almaty) will be held in KASE trading system on today.

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Security type:                            coupon bonds           
National identification number:           KZP03Y07D701           
ISIN:                                     KZ2C00003069           
KASE trade code:                          KKGBb11                
Face value, tenge:                        1,000.0                
Issue volume, mln tenge:                                         
– registered:                             100,000.0              
– outstanding:                            –                      
First circulation date:                   January 14, 2015       
Last circulation date:                    January 13, 2022       
Redemption start date:                    January 14, 2022       
Circulation term:                         7 years (2,520 days)   
Coupon rate:                              8.75 % per annum       
Coupon payment periodicity:               once a year            
Coupon payment start date:                January 14             
Time base:                                30 / 360               
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Trade date:                               February 12, 2015      
Term to maturity:                         7 years (2,492 days)   
Declared volume at face value, mln tenge: 20,010.0               
Trade subject:                            "net" price            
Purchase orders types:                    market and limited     
Market order acceptance ratio, %:         70                     
Order submission method:                  closed                 
Order receipt time:                       11:30–14:30            
Order confirmation time:                  11:30–14:30            
Striking time:                            15:30                  
Payment date:                             February 12, 2015      
Payment time:                             before 15:30 (Т+0)     
Order acceptance method:                  at cut-off price       
Trades initiator:                         Kazkommerts Securities 
                                          (subsidiary organization
                                          of Kazkommertsbank JSC)
                                          (Almaty)               
Trading system sector:                    Debts_List_ST1         
Trading system group:                     Corp_ST1               
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As the price an order must indicate the bonds' "net" price (excluding the interest accrued) in percentage from the security's face value, expressed with accuracy within the fourth decimal.

The number of financial instruments in an order must be equal to the number of bonds in units.

As the volume orders must quote the production of the bonds number, indicated in an order and the "dirty" price per bond (including interest accrued) expressed in tenge. A deal volume is calculated in compliance with article 14 of chapter 3 of the Methodology of Bonds Yield Calculation and Amount of Deals in Bonds available at http://www.kase.kz/files/normative_base/bond_yield_eng.pdf

Settlements will be made by the Central Securities Depository JSC in compliance with its rules. The buyer of securities must ensure availability of money payable for securities bought at Central Securities Depository correspondent account by the time indicated in the table.

Only KASE stock market members may submit application for participation in the trades. Other investors can submit orders through those legal entities.

The full list of stock market members is available at http://www.kase.kz/en/membership

Details of the mentioned bonds are available at http://www.kase.kz/en/bonds/show/KKGBb11