Interest rate for first coupon period on KEGOC bonds KZP01Y15F281 (KZ2C00003572, KEGCb1) – 18.60 % APR

29.06.16 13:42
/KASE, June 29, 2016/ – KEGOC (Astana), whose securities are officially listed on Kazakhstan Stock Exchange (KASE), has informed KASE that the interest rate on its bonds KZP01Y15F281 (KZ2C00003572, KASE official list, category "debt securities of quasi-public entities", KEGCb1) for the first coupon period (from May 26, 2016 to May 25, 2017) was fixed at 18.60 % APR. Earlier today there were related KASE news items: - "Additions to Kazakhstan Electricity Grid Operating Company (KEGOC) bonds KZP01Y15F281 (KZ2C00003572, KEGCb1) issue prospectus published" – http://www.kase.kz/en/news/show/1300020 - "National Bank registers amendments to issue prospectus of bonds KZP01Y15F281 (KZ2C00003572, KEGCb1) of KEGOC" – http://www.kase.kz/en/news/show/1300038 [2016-06-29]