Schedule of events on corporate debt market of Kazakhstan within July 23-29, 2007

20.07.07 18:10
/IRBIS, Valeriy Khegay, June 20, 07/ - Within the period of July 23-29, 2007 on the exchange market of corporate debt of Kazakhstan the following is planned: July 23 is fixing register of holders of the bonds KZ2C0Y03C312 (KASE's category "B" official list, ORDKb1; KZT1,000, KZT500 m.; October 24, 06- October 10, 09, quarter coupon 12.00% APR) Credit company, Orda credit LLP (Shymkent). Register is being fixed for the third coupon payment. July 23 is fixing register of holders of the subordinated bonds KZPC4Y07B576 (KASE's category "A" official list, ASBNb7; KZT1,000, KZT5 bn.; July 24, 06- July 24, 13, semi annual coupon 8.50 % APR) Alliance Bank JSC (Almaty). Register is fixed for the second coupon payment. July 23 -27 is period of fifth coupon payment to the holders of the bonds KZPC1Y05D501 (KASE's category "A" official list, ASFIb5; KAZ100; KZT5.0 bn.; January 21, 05 - January 21, 10, indexed on the inflation rate semi annual coupon 10.20% APR for the current coupon period) Astana-Finance JSC (Astana). Register is fixed for the fifth coupon payment. Providing that all bonds are circulating, the sum of payment makes KZT255.0 m. According to the terms of the issue, the payment must be made until August 3, 2007 including. July 24 is the date of the second coupon payment to the holders of the subordinated bonds KZPC4Y07B576 Alliance Bank JSC. Providing that all bonds are circulating, the sum of payment makes KZT212.5 m. July 24 - 27 is period of the third coupon payment to the holders of the bonds KZ2C0Y03C312 (ORDKb1) Credit company, Orda credit LLP. Providing that all bonds are circulating, the sum of payment makes KZT15.0 m. According to the terms of the issue, the payment must be made until August 6, 2007 including. July 25 - the date of the eighth coupon payment to the holders of the bonds that are indexed on the level of devaluation of KZ tenge to the U.S. dollar, KZ2CKY07A834 (KASE's category "A" official list, KZTCb1; KZT1, KZT3.0 bn. July 25, 03 - July 25, 10, semi annual coupon 8.00% APR) of KazTransCom JSC (Alamty). Providing that all bonds are circulating, the sum of payment makes KZT120.0 m. (the earnings of the bonds' holders are protected from the tenge's appreciation to the U.S. dollar). July 28 is fixing register of holders of the bonds that are indexed on the level of devaluation of KZ tenge to the U.S. dollar, KZ2CKY06A497 (KASE's category "A" official list, ALBNb1; KZT15,000, KZT1.5 bn. February 28, 02 - February 28, 08, indexed on the level of devaluation of KZ tenge, semi annual coupon 8.50% APR) of Alpha-Bank JSC (Alamty). Register is being fixed for the eleventh coupon payment. The trades with bonds of Alpha-Bank JSC on KASE were suspended since March 5, 2004 because of the absence of the bonds in circulation (repurchased by the issuer). [2007-07-20]