27.11.2015, 09:08
National Bank approves reports on results of offering of six issues of ForteBank bonds from April 15 to October 14, 2015
OREANDA-NEWS. ForteBank JSC (Almaty), whose securities are officially listed on Kazakhstan Stock Exchange (KASE), has provided KASE with copies of letters of the National Bank of the Republic of Kazakhstan (National Bank) of November 23, 2015, according to which the National Bank approved the reports on results of offering of the following bonds for the period from April 15 to October 14, 2015:
- KZP01Y13C333 (KZ2C00000099, KASE official list, other debt securities category, TEBNb12);
- KZP02Y15С336 (KZ2C00000081, KASE official list, other debt securities category, TEBNb13);
- KZP03Y19C336 (KZ2C00000107, KASE official list, other debt securities category, TEBNb14);
- KZP04Y19C334 (KZ2C00000115, KASE official list, other debt securities category, TEBNb15);
- KZP05Y20C339 (KZ000A1AT8V6, KASE official list, other debt securities category, TEBNb16);
- KZP06Y20C337 (KZ2C00000123, KASE official list, other debt securities category, TEBNb17).
According to the letters provided, no bonds were offered in the reporting period. As of October 14, 2015,
- 547,172,903,800 bonds KZP01Y13C333 (KZ2C00000099, TEBNb12);
- 755,786,258,421 bonds KZP02Y15С336 (KZ2C00000081, TEBNb13)
- 503,619,679,384 bonds KZP03Y19C336 (KZ2C00000107, TEBNb14);
- 512,097,052,921 bonds KZP04Y19C334 (KZ2C00000115, TEBNb15);
- 46,049,474,361 bonds KZP05Y20C339 (KZ000A1AT8V6, TEBNb16);
- 483,489,062,500 bonds KZP06Y20C337 (KZ2C00000123, TEBNb17)
remained unplaced.
- KZP01Y13C333 (KZ2C00000099, KASE official list, other debt securities category, TEBNb12);
- KZP02Y15С336 (KZ2C00000081, KASE official list, other debt securities category, TEBNb13);
- KZP03Y19C336 (KZ2C00000107, KASE official list, other debt securities category, TEBNb14);
- KZP04Y19C334 (KZ2C00000115, KASE official list, other debt securities category, TEBNb15);
- KZP05Y20C339 (KZ000A1AT8V6, KASE official list, other debt securities category, TEBNb16);
- KZP06Y20C337 (KZ2C00000123, KASE official list, other debt securities category, TEBNb17).
According to the letters provided, no bonds were offered in the reporting period. As of October 14, 2015,
- 547,172,903,800 bonds KZP01Y13C333 (KZ2C00000099, TEBNb12);
- 755,786,258,421 bonds KZP02Y15С336 (KZ2C00000081, TEBNb13)
- 503,619,679,384 bonds KZP03Y19C336 (KZ2C00000107, TEBNb14);
- 512,097,052,921 bonds KZP04Y19C334 (KZ2C00000115, TEBNb15);
- 46,049,474,361 bonds KZP05Y20C339 (KZ000A1AT8V6, TEBNb16);
- 483,489,062,500 bonds KZP06Y20C337 (KZ2C00000123, TEBNb17)
remained unplaced.
Комментарии