Eurasian Capital as of April 11 assigned status of market-maker on KASE for bonds of AsiaCredit Bank of three issues

10.04.14 11:23
/KASE, April 10, 14/ – Following a decision of Kazakhstan Stock Exchange (KASE) Management Board Eurasian Capital (Almaty) as of April 11, 2014 based on its application was assigned the status of a market-maker on KASE for the following bonds of AsiaCredit Bank (Almaty): - KZP01Y07D887 (KZ2C00001766, KASE official list, Rated Debt Securities category, LARIb2; KZT1; KZT10.0 bn, July 16, 2012 – July 16, 2019, semi-annual coupon 8.00 % APR; 30/360); - KZP02Y07D885 (KZ2C00002418, KASE official list, Rated Debt Securities category, LARIb3; KZT1, KZT10.0 bn; September 30, 2013 – September 30, 2020, semi-annual coupon 8.00 % APR; 30/360); - KZP03Y08D881 (KZ2C00002459, KASE official list, Rated Debt Securities category, LARIb4; KZT1, KZT10.0 bn; November 21, 2013 – November 21, 2021, semi-annual coupon 8.00 % APR; 30/360). [2014-04-10]