On September 30 registers of holders of six issue bonds of Kazakhstan mortgage company JSC are fixed for coupon payments
29.09.06 16:08
/IRBIS, Yelena Korpusenko, September 29, 06/ - On September 30 the
registers of holders of the following issue bonds of Kazakhstan mortgage
company JSC (Almaty) are fixed:
- KZ2CKY10A853 (KASE's category "A" official listing, KZIKb2; KZT1,
KZT2.4 bn.; August 11, 03 - October 1, 13, semi-annual coupon indexed
on inflation rate 10.70% APR for the current period) (for seventh
coupon payment;
- KZ2CKY10A986 (KASE's category "A" official listing, KZIKb3; KZT1,
KZT4,050.0 m.; December 1, 03 - April 1, 14, semi-annual coupon
indexed on inflation rate 9.90% APR for the current period) ( for sixth
coupon payment;
- KZ2CKY10B075 (KASE's category "A" official listing, KZIKb4; KZT1,
KZT4,050.0 m.; February 1, 04 - April 1, 14, semi-annual coupon
indexed on inflation rate 9.40% APR for the current period) ( for sixth
coupon payment;
- KZ2CKY05B216 (KASE's category "A" official listing, KZIKb5; KZT1,
KZT5.0 bn.; June 1, 04 - April 1, 09, semi-annual coupon indexed on
inflation rate 9.29% APR for the current period) ( for fifth coupon
payment;
- KZ2CKY07B220 (KASE's category "A" official listing, KZIKb6; KZT1,
KZT5.0 bn.; June 1, 04 - April 1, 11, semi-annual coupon indexed on
inflation rate 2.29% APR for the current period) ( for fifth coupon
payment;
- KZ2CKY07B303 (KASE's category "A" official listing, KZIKb7; KZT1,
KZT5.0 bn.; June 1, 04 - April 1, 11, semi-annual coupon indexed on
inflation rate 9.00% for the current period) ( for fourth coupon period;
- KZ2CKY10B315 (KASE's category "A" official listing, KZIKb8; KZT1,
KZT5.0 m.; October 1, 04 - October 1, 14, semi-annual coupon indexed
on inflation rate). Register is fixed for fourth coupon payment, which rate
is unknown for KASE. Bonds were included into KASE's official listing on
November 26 2004. Trades on this securities were not open.
[2006-09-29]