/KASE, September 28, 04/ - By the decision of Kazakhstan stock
exchange's (KASE) Board since September 28 of 2004 trades in bonds of
Bank CenterCredit JSC (Almaty) of the fifth issue (KZ2CKY03B294, official
"A" listing category, CCBNb5; KZT1, KZT500.0 m; September 24, 04 -
September 24, 07, semi-annual coupon, 8.5% APR), which are secured by
the pool of mortgage certificates on the agreements of the bank's mortgage
loans, are opened at KASE.
Quotation accuracy of CCBNb5 in KASE's trade system is four decimal
figures of bond's clean price expressed as percentage of the face value. KIB
ASSET MANAGEMENT JSC (Almaty) performs market-maker's functions. Minimal
volume of compulsory quotation for the market-maker is 1,800,000 bonds.
The mentioned bonds were included in KASE's official "A" listing category on
September 24 of 2004.
Detailed information about the securities is in KASE's site at
http://www.kase.kz/emitters/ccbn.asp.
[2004-09-28]