Bonds KZP02Y10C592 (HSBKb13) and KZP03Y10C590 (HSBKb14) of Halyk Savings Bank of Kazakhstan listed on KASE in first subcategory of Non-rated debt securities category November 6

06.11.08 15:56
/KASE, November 6, 08/ - As informed earlier the Exchange Council of Kazakhstan Stock Exchange (KASE) November 5, 2008 decided to include in the KASE official list in the first subcategory of Non-rated debt securities the following bonds of Halyk Savings Bank of Kazakhstan (Almaty): - KZP02Y10C592 (HSBKb13; KZT10,000; KZT5.0 bn.; 06.11.08 - 06.11.18, semiannual coupon 13.00 % APR, 30/360); - KZP03Y10C590 (HSBKb14; KZT10,000; KZT5.0 bn.; 06.11.08 - 06.11.18, semiannual coupon, 13.00 % APR as for the first coupon period, further - indexed to Kazakhstan inflation rate, 30/360). The decision is effective November 6, 2008, as the issuer paid KASE listing fees on the securities. Opening of trade in the bonds on KASE will be announced additionally. The bond issues are the second and the third within the 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 correspondingly the thirteenth and the fourteenth issues of bank internal bonds, which advanced through KASE listing procedure. Details on the issue of securities will be available at the KASE website beginning November 6 at: http://www.kase.kz/emitters/hsbk.asp [2008-11-06]