Bonds KZP02Y10C592 (HSBKb13) and KZP03Y10C590 (HSBKb14) of Halyk Savings Bank of Kazakhstan advance through listing procedure on KASE in first subcategory of category Non-rated debt securities
05.11.08 21:03
/KASE, November 5, 08/ - The following bonds of Halyk Savings Bank of
Kazakhstan (Almaty) were included in the KASE official list, the first
sub-category of category "Non-rated debt securities" by the decision of the
Exchange Council of Kazakhstan Stock Exchange (KASE) of November 5, 2008.
- KZP02Y10C592 (KZT10 000; KZT5.0 bn.; 10 years, semiannual coupon
13.00 % APR, 30/360) under code HSBKb13;
- KZP03Y10C590 (KZT10 000; KZT5.0 bn.; 10 years, semiannual coupon,
13.00 % APR for the first coupon period, further - indexed on inflation rate in
Kazakhstan, 30/360) under code HSBKb14.
The date the decision is made effective will be announced additionally after the
issuer pays the listing fee on the securities.
Opening of trades in bonds on KASE will also be announced additionally.
The issues are the second and the third within the frames of the third bond
program of Halyk Savings Bank of Kazakhstan registered by the Agency of the
Republic of Kazakhstan on Regulation and Supervision of Financial Market and
Financial Organizations on June 22, 2007 for the total of KZT200.0 bn., and the
thirteenth and fourteenth issues of internal bonds of the bank that advanced
through KASE listing procedure.
Details on the issue will be available at the KASE website after the Exchange
Council decision is made effective.
[2008-11-05]