Issuer of bonds KZ2C0Y20A641 (KZ2C00001485, TEBNb3) substituted from Temirbank to Alliance Bank in KASE trading system and data bases

12.02.15 18:05
/KASE, February 12, 15/ – in accordance with a decision of Kazakhstan Stock Exchange (KASE) Management Board as of February 13, 2015 the issuer of bonds KZ2C0Y20A641 (KZ2C00001485, KASE official list, category "other debt securities", TEBNb3) was substituted from Temirbank JSC (Almaty) to Alliance Bank JSC (Almaty) in KASE trading system and data bases. The abbreviation (trade code) of the mentioned bonds remains the same – TEBNb3. The decision was taken based on copies of the certificate of the National Bank of Republic of Kazakhstan on state registration of the securities issue and amendments to the issue prospectus of the mentioned bonds as of January 30, 2015. Amendments to the issue prospectus of the mentioned bonds registered by the National Bank of Republic of Kazakhstan on January 30, 2015 are available in Kazakh and Russian on http://www.kase.kz/files/emitters/TEBN/tebnf9_TEBNb3_izm_300115.pdf [2015-02-12]