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Market and Company News
12.06.2009 16:41 #KASE news

Kazakhstan corporate debt market schedule in June 15 - 21, 2009

/IRBIS, Valeriya Grishenko, June 12, 09/ - There are 15 companies will make coupon interest (or maturity) payment on 18 bonds issues within the period of June 15 - 21, 2009 at Kazakhstan corporate debt exchange market.

Details of Kazakhstan corporate debt market schedule are specified below:

------------------------------------------------------------------------
Date of  Payment                 Circulation  Rate,
fixation period     Bonds             period  % APR          Outpayments
-------- ---------- ------------ ----------- ------ --------------------
IСКЕ CAT COMPANY JSC (Almaty)
------------------------------------------------------------------------
         15.06.09   KZ2C0Y07C321    15.12.06  10.00           KZT50.0 m.
         - 24.06.09  (ISKEb1)     - 15.12.13
------------------------------------------------------------------------
Astana-Finance JSC (Astana)
------------------------------------------------------------------------
21.06.09            KZPC2Y07B505    22.06.05 12.50*
                     (ASFIb6)     - 22.06.12
------------------------------------------------------------------------
Bank CenterCredit JSC (Almaty)
------------------------------------------------------------------------
         15.06.09   KZP11Y15B651    05.12.07 13.00*          KZT325.0 m.
         - 24.06.09 (CCBNb18)     - 05.12.22
------------------------------------------------------------------------
BTA Bank JSC (Almaty)
------------------------------------------------------------------------
         15.06.09   KZ2CKY10B158    10.06.04 12.00*          KZT840.0 m.
         - 23.06.09 (BTASb4)      - 10.06.14

15.06.09 16.06.09 KZ2C0Y10D067 16.06.08 11.00 KZT5 500.0 m. - 29.06.09 (BTASb9) - 16.06.18

------------------------------------------------------------------------
RESMI Group LTD (Almaty)
------------------------------------------------------------------------
20.06.09 21.06.09   KZ2P0Y07C187    21.12.06  12.00           KZT90.0 m.
         - 26.06.09  (RESCb1)     - 21.12.13
------------------------------------------------------------------------
BTA Mortgage joint stock company Subsidiary of BTA Bank JSC (Almaty)
------------------------------------------------------------------------
         15.06.09   KZPC1Y07B335    15.12.04 12.30*          KZT123.0 m.
         - 19.06.09 (BTAIb3)      - 15.12.11

16.06.09 17.06.09 KZP04Y05B335 17.06.05 10.00* KZT100.0 m. - 23.06.09 (BTAIb6) - 17.06.10

------------------------------------------------------------------------
Karaganda factory of asbestos-cement products JSC (Karagandy region)
------------------------------------------------------------------------
         15.06.09   KZPC2Y05B806    05.12.06  10.00           KZT75.0 m.
         - 18.06.09 (KAZIb2)      - 05.12.11
-------- ---------- ------------ ----------- ------ --------------------
Condensat  JSC (West-Kazahstanskaya obl.)
------------------------------------------------------------------------
         15.06.09   KZ2C0Y05C192    11.12.06   8.80          KZT132.0 m.
         - 24.06.09 (KONDb1)      - 11.12.11
-------- ---------- ------------ ----------- ------ --------------------
Corporation Tsesna JSC (Astana)
------------------------------------------------------------------------
         15.06.09   KZ2CKY03B328    14.06.06   9.00  KZT91.8 m. (coupon)
         - 26.06.09 (TSNAb1)      - 14.06.09               KZT2 040.0 m.
                                                               (nominal)
-------- ---------- ------------ ----------- ------ --------------------
Concern Tsesna-Astyk LLC(Astana)
------------------------------------------------------------------------
         15.06.09   KZ2PKY05C260    11.12.06   9.00          KZT135.0 m.
         - 24.06.09 (TSASb1)      - 11.12.11
-------- ---------- ------------ ----------- ------ --------------------
Corporation AIC-Invest LLC (Astana)
------------------------------------------------------------------------
         15.06.09   KZP01Y03C995    11.04.08  12.00           KZT50.0 m.
         - 24.06.09 (aAPKIb1)     - 11.04.11

19.06.09 20.06.09 KZP02Y03C993 20.05.08 12.00 KZT50.0 m. - 03.07.09 (aAPKIb2) - 20.05.11

-------- ---------- ------------ ----------- ------ --------------------
Kostanai Minerals JSC (Kostanai region)
------------------------------------------------------------------------
16.06.09 17.06.09   KZ2CKY05B174    17.06.04 12.00* $ 492.8 th. (coupon)
         - 30.06.09  (KZASb2)     - 17.06.09               $ 8 214.2 th.
                                                               (nominal)
------------------------------------------------------------------------
Halyk Savings Bank of Kazakhstan JSC (Almaty)
------------------------------------------------------------------------
19.05.09 19.06.09   KZ2CKY06A760    19.06.03   9.00 KZT202.5 m. (coupon)
                     (HSBKb3)     - 19.06.09              KZT4 500.0 m..
                                                               (nominal)
------------------------------------------------------------------------
Tsesnabank JSC (Astana)
------------------------------------------------------------------------
         15.06.09   KZPC4Y09B879    14.12.06 10.00*          KZT200.0 m.
         - 26.06.09 (TSBNb6)      - 14.12.15

15.06.09 16.06.09 KZPC2Y05B871 16.06.06 8.00 KZT120.0 m. - 29.06.09 (TSBNb4) - 16.06.11

------------------------------------------------------------------------
Eximbank Kazakhstan JSC (Almaty)
         15.06.09   KZP02Y05C295    07.06.07   9.00          KZT450.0 m.
         - 19.06.09 (EXBNb2)      - 07.06.12
------------------------------------------------------------------------
*  bonds indexed to inflation rate
** bonds indexed to devaluation rate of KZT to USD

Notes

Date of fixation - is the register fixation date of bondholders. The absence of register fixation date in certain column says that register of bondholders was fixed before the specified period.

Payment period - is the period of the coupon payment/maturity according to bonds issue prospectus.

Outpayments - provides the sum of coupon interest payment/maturity, if total volume of these or those bonds is circulating.

[2009-06-12]