Bonds KZP08Y10С532 (ASFIb22), KZP02Y03D017 (ASFIb23) and KZP03Y05D010 (ASFIb24) of Astana-finance (Kazakhstan) are recognized included into KASE category "A" official list from August 29

29.08.08 17:14
/KASE, August 29, 08/ - By the decision of Kazakhstan Stock Exchange (KASE) Board, from August 28, 2008 were recognized included into KASE category "A" official list in compliance with the simplified listing procedure, established by article 19-1 if Listing Rules, the following bonds of Astana-finance (Astana): - KZP08Y10С532 (KZT100; KZT10.0 bn.; August 29, 08 - August 29, 18, the semi-annual coupon 11.00 % APR, 30/360) under code ASFIb22; - KZP02Y03D017 (KZT100; KZT5.0 bn.; August 29, 08 - August 29, 11, the semi-annual coupon indexed on the inflation rate, 12.00 % APR for the first two circulation years, 30/360) under code ASFIb23; - KZP03Y05D010 (KZT100; KZT5.0 bn.; August 29, 08 - August 29, 13, the semi-annual coupon indexed on the inflation rate, 12.00 % APR for the first two circulation years, 30/360) under code ASFIb24; The mentioned decision was put into effect from August 29, 2008, as the issuer paid the listing fee on these securities. By the decision of KASE Council of STF RFCA from August 28, 2008 the mentioned bonds were transferred to the first sub-category "Debt securities without the rating". Opening of trades in bonds on KASE will also be announced additionally. Bonds KZP08Y10С532 are the eighth issue within the sixth bond program of Astana-finance, registered by the Agency of the Republic of Kazakhstan on Regulation and Supervision of Financial Market and Financial Organizations (AFS) on May 29, 2007 to the total amount of KZT10.0 bn., and the seventeenth issue of the company's internal bonds listed on KASE. Bonds KZP02Y03D017 and KZP03Y05D01 are the second and the third issues within the seventh bond program of Astana-finance, registered by the Agency of the Republic of Kazakhstan on Regulation and Supervision of Financial Market and Financial Organizations (AFS) on April 11, 2008 to the total amount of KZT10.0 bn., and accordingly eighteenth and nineteenth issues of the company's internal bonds listed on KASE. More detailed information on securities and their issuer will be published on KASE website on August 29 at http://www.kase.kz/emitters/asfi.asp [2008-08-29]