/KASE, February 13, 2019/ – ATFBank (Almaty, hereinafter – the Bank), the
representative of holders of infrastructure bonds KZ000A0T88N8 (KASE alternative
market, category "bonds", BTTRb1) of Batys Tranzit (Almaty, hereinafter – the
Issuer) has informed Kazakhstan Stock Exchange (KASE) of the following:
quote
The Bank hereby announces that as at January 31, 2019, the Issuer accumulated
KZT200 mln for repayment of principal amount of debt on its bonds and
KZT920,409,601.00 for payment of 13th coupon interest to be effected in April
this year.
unquote
This information is available at (in Russian) –
http://kase.kz/files/emitters/BTTR/bttr_reliz_130219.pdf
[2019-02-13]