BTA Ipoteka to redeem bonds KZP02Y10C113 (BTAIb12) and KZP03Y10C111 (BTAIb13) ahead of schedule
02.03.10 18:10
/KASE, March 2, 10/ - BTA Bank's subsidiary BTA Ipoteka (Almaty), bonds of
which are listing on Kazakhstan Stock Exchange (KASE), informed KASE:
Quotation begins
Mortgage organization BTA Ipoteka (the Company) informed its Board of
Directors made decision No. 128/02 dated February 12, 2010 to redeem the
second issue of subordinated bonds under the third bond program (NIN
KZP02Y10C113) and the third issue of subordinated bonds under the third bond
program (НИН KZP03Y10C111) ahead of schedule.
The bonds will be redeemed April 2, 2010 in accordance with the terms of the
issue prospectuses.
Bondholders may receive details in the Treasury Office of the Company on phone
295-24-74 (ext.3160).
Ends
Bonds KZP02Y10C113 (BTAIb12; KZT100, KZT1 bn; 04.08.06 - 04.08.16;
semiannual coupon 7.00 % APR) and KZP03Y10C111 (BTAIb13; KZT100, KZT1
bn; 28.12.06 - 28.12.16; semiannual coupon 7.00 % APR) of BTA Bank's
subsidiary BTA Ipoteka were listed on KASE in the second subcategory of Non-
rated debt securities.
[2010-03-02]