Circulation of RENATA LLP (Kazakhstan) bonds ended
/IRBIS, June 14, 01/ - On June 13, 2001 the register of the holders of first issue inscribed coupon bonds of RENATA LLP (Energeticheskii comm., Ili district of Almaty region; production of consumer goods, wholesale and retail trade, designing works etc; KZ2C3AJK6A19, $10, $280 th.; June 21.00 - June 21.01, annual coupon at 18.0% APR). Based on issue terms, the bondholders, who have registered themselves in the register till indicated date, are entitled to receive a coupon and the face value. Therefore, the circulation of the bonds actually ends on June 13.
The bonds were traded at the Kazakhstan Stock Exchange (KASE) in "Non- listed securities" sector under second admittance level from July 31, 2000 (trade code - RENTb). During the circulation term no deals have been made in these bonds. Last time the bonds were offered for sale on April 11, 2001 at a net price of 100.3359%, which corresponds to the yield of 15.00% APR. There has been no demand for the bonds during the circulation time either.
By the data of the National Securities Commission of Kazakhstan, the report on the floatation of the bond issue was registered on November 2, 2000.