On June 25 register of holders of the 1st issue bonds of KazTransCom OJSC (Kazakhstan) is fixed for the 2nd coupon payment

24.06.04 13:13
/IRBIS, Andrey Tsalyuk, June 24, 04/ - On June 25 of 2004 bondholder fixation date over tenge devaluation indexed bonds of KazTransCom OJSC of the first emission (KZ2CKY07A834; category A of the official listing; KZTCb1; KZT 1.0; KZT 3.000.0 m; July 25, 03 - July 25, 2010; semiannual coupon - 8.0% APR). Register is fixed for repayment of second coupon payment. From June 25 bonds will be quoted in KASE trade system without accumulated interest. [2004-06-24]