/KASE, September 24, 04/ - By the decision of Kazakhstan stock
exchange's (KASE) Council dated September 24, 2004 bonds of Bank
CenterCredit OJSC (Almaty) of the fifth emission (KZ2CKY03B294, KZT
1.0, KZT 500.0 m; Sept 24, 04 - Sept 24, 07, semi-annual coupon - 8.5%)
provisioned by mortgage certificates over mortgage loans of the bank have
been included into KASE's official "А" listing category, trade code - CCBNb5.
This decision took effect on September 24, 2004, because the issuer paid
entrance and listing fees.
Date of trades will be announced later.
Quotation accuracy for CCBNb5 is 4 decimal points of net price expressed
in percent of nominal value. Market-maker status of CCBNb4 at KASE, on
the basis of application, has been assigned to KIB ASSET MANAGEMENT
Ltd LLP (Almaty). Minimal volume of compulsory quotation for the market-
maker - 1,800,000 bonds.
Detailed information will be released soon at
http://www.kase.kz/emitters/ccbn.asp.
[2004-09-24]