05.03.2015, 12:07
Issuer substitution from Temirbank to ForteBank on bonds of 13 issues carried out in KASE trading system and data bases
OREANDA-NEWS. In accordance with a decision of Kazakhstan Stock Exchange (KASE) Management Board as of March 5, 2015 substitution of issuer from Temirbank JSC to ForteBank JSC was carried out on the following bonds:
- KZP01Y20B553 (KZ2C00000024, KASE official list, category "other debt securities", TEBNb4);
- KZP01Y17B559 (KZ2C00000032, KASE official list, category "other debt securities", TEBNb6);
- KZP04Y19B559 (KZ2C00000040, KASE official list, category "other debt securities", TEBNb7);
- KZP05Y16B552 (KZ2C00000057, KASE official list, category "other debt securities", TEBNb8);
- KZP07Y20B550 (KZ2C00000065, KASE official list, category "other debt securities", TEBNb10);
- KZP08Y25B557 (KZ2C00000073, KASE official list, category "other debt securities", TEBNb11);
- KZP01Y13C333 (KZ2C00000099, KASE official list, category "other debt securities", TEBNb12);
- KZP02Y15C336 (KZ2C00000081, KASE official list, category "other debt securities", TEBNb13);
- KZP03Y19C336 (KZ2C00000107, KASE official list, category "other debt securities", TEBNb14);
- KZP04Y19C334 (KZ2C00000115, KASE official list, category "other debt securities", TEBNb15);
- KZP05Y20C339 (KZ000A1AT8V6, KASE official list, category "other debt securities", TEBNb16);
- KZP06Y20C337 (KZ2C00000123, KASE official list, category "other debt securities", TEBNb17);
- KZP07Y10C336 (KZ2C00000461, KASE official list, category "other debt securities", TEBNb18).
Abbreviated designations (trade codes) of the mentioned bonds remained the same.
The decision was taken based on copies of certificates of the National Bank of Republic of Kazakhstan on state registration of securities issues and changes and additions to issue prospectuses of the said bonds dated February 16, 2015.
- KZP01Y20B553 (KZ2C00000024, KASE official list, category "other debt securities", TEBNb4);
- KZP01Y17B559 (KZ2C00000032, KASE official list, category "other debt securities", TEBNb6);
- KZP04Y19B559 (KZ2C00000040, KASE official list, category "other debt securities", TEBNb7);
- KZP05Y16B552 (KZ2C00000057, KASE official list, category "other debt securities", TEBNb8);
- KZP07Y20B550 (KZ2C00000065, KASE official list, category "other debt securities", TEBNb10);
- KZP08Y25B557 (KZ2C00000073, KASE official list, category "other debt securities", TEBNb11);
- KZP01Y13C333 (KZ2C00000099, KASE official list, category "other debt securities", TEBNb12);
- KZP02Y15C336 (KZ2C00000081, KASE official list, category "other debt securities", TEBNb13);
- KZP03Y19C336 (KZ2C00000107, KASE official list, category "other debt securities", TEBNb14);
- KZP04Y19C334 (KZ2C00000115, KASE official list, category "other debt securities", TEBNb15);
- KZP05Y20C339 (KZ000A1AT8V6, KASE official list, category "other debt securities", TEBNb16);
- KZP06Y20C337 (KZ2C00000123, KASE official list, category "other debt securities", TEBNb17);
- KZP07Y10C336 (KZ2C00000461, KASE official list, category "other debt securities", TEBNb18).
Abbreviated designations (trade codes) of the mentioned bonds remained the same.
The decision was taken based on copies of certificates of the National Bank of Republic of Kazakhstan on state registration of securities issues and changes and additions to issue prospectuses of the said bonds dated February 16, 2015.
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