/KASE, May 16, 06/ - By decision of Stock Exchange's Council of KASE
dated May 16, 2006 KZPС6Y10B658 issue subordinate bonds of Bank
CenterCredit JSC (Almaty) (KZT100, KZT4.0 bn.; April 13, 06 - April 13, 16;
semi-annual coupon 9.0% APR for the first year of circulation, further on -
floating, depending on inflation rate; 30/360) are included in KASE's official
"A" listing category under code of CCBNb13.
Specified decision has come into the force since May 16, 2006 as the issuer
paid KASE's listing due on given securities.
Opening of trades by named bonds on KASE will be announced additionally.
Specified bonds issue is the sixth within the frameworks of the first bond
program of Bank CenterCredit JSC, registered by Agency of the Republic of
Kazakhstan for regulation and supervision of financial market and financial
organizations on July 6 of 2005 to a total sum of KZT50.0 bn., and the
thirteenth bonds issue of the bank, having passed through the listing
procedure on KASE.
KIB ASSET MANAGEMENT JSC (Almaty) performed as the underwriter of
the given issue.
More detailed information of securities issue will be published in the nearest
future on website of KASE at
http://www.kase.kz/emitters/ccbn.asp
[2006-05-16]