Kazakhstan corporate debt market schedule in December 29, 2008 - January 4, 2009
26.12.08 23:14
/IRBIS, Natalya Vaguina, December 26, 08/ - Within the period of December
29, 2008 - January 4, 2009 the following is planned on the Kazakhstan
corporate debt exchange market. Note that January 1 and 2, 2009 is the
holiday in Kazakhstan.
December 29 - 30 the period of the fourth coupon payment to holders of
mortgage bonds KZPC4Y09B879 (KASE official list, the first sub-category
of category "Non-rated debt securities", TSBNb6; KZT1; KZT4.0 bn.;
14.12.06 - 14.12.15 semiannual coupon indexed on inflation rate 10.00 %
APR as for the current period) of Tsesnabank JSC (Astana). Provided all
bonds are circulating the sum of payment makes KZT200.0 m.
December 29 - 30 the period of the fifth coupon payment to holders of
bonds KZ2CKY03B328 (KASE official list, the second sub-category of
category "Non-rated debt securities", TSNAb1; KZT1 000; KZT2 040.0 m.;
14.06.06 - 14.06.09 semiannual coupon 9.00 % APR) of Corporation
Tsesna JSC (Astana). Provided all bonds are circulating the sum of payment
makes KZT91.8 m.
December 29 - 31 the period of the fifth coupon payment to holders of
bonds KZPC2Y05B871 (KASE official list, the first sub-category of category
"Non-rated debt securities", TSBNb4; KZT1 ; KZT3.0 bn.; 16.06.06 -
16.06.11 semiannual coupon 8.00 % APR) of Tsesnabank JSC. Provided
all bonds are circulating the sum of payment makes KZT120.0 m.
December 29 - 31 the period of the ninth coupon payment to holders on
devaluation rate of tenge to US dollar bonds KZ2CKY05B174 (KASE
official list, the second sub-category of category "Non-rated debt securities",
KZASb2; KZT1 ; KZT1 120.0 m.; 17.06.04 - 17.06.09 semiannual coupon
indexed on inflation rate 12.00 % APR as for the current period) of
KOSTANAI MINERALS JSC. Provided all bonds are circulating the sum of
payment makes KZT67.2 m. (bondholders` yield is protected from KZT/USD
appreciating).
December 29 - 31 the period of the sixth coupon payment to holders of
bonds KZP02Y03C993 (STF RFCA official list, the first sub-category of
category "Non-rated debt securities", aAPKIb2; KZT1 000; KZT5.0 bn.;
20.05.08 - 20.05.11 monthly coupon 12.00 % APR) of Corporation AIC-
Invest LLC. Provided all bonds are circulating the sum of payment makes
KZT50.0 m. According to the terms of issue payment must be made until
January 6, 2009 inclusive.
December 29 - 31 the period of the third coupon payment to holders of
bonds KZPP1Y05B763 (KASE official list, the second sub-category of
category "Non-rated debt securities", KRZHb1; KZT100 ; KZT700.0 m.;
23.12.05 - 23.12.10 annual coupon 14.00 % APR) of Karagandy Zharyk
LLP (Karaganda). Provided all bonds are circulating the sum of payment
makes KZT98.0 m. According to the terms of issue payment must be made
until January 8, 2009 inclusive.
December 29 - 31 the period of the sixth coupon payment to holders on
devaluation rate of tenge to US dollar bonds KZ2CKY05B794 (PDESb1)
of PAVLODARENERGOSERVICE JSC. Provided all bonds are circulating
the sum of payment makes KZT90.0 m. (bondholders` yields is protected
from KZT/USD appreciating). According to the terms of issue payment must
be made until January 9, 2009 inclusive.
December 29 - 31 the period of the twentieth coupon payment to holders of
bonds KZ2CKY07A867 (KASE official list, the first sub-category of category
"Non-rated debt securities", BTAIb1; KZT10,000, KZT500.0 m.; 26.12.03 -
26.12.10 three-month coupon with floating rate 10.00 % APR as for the
accounting period) of Daughter mortgage organization of joint stock
company Bank TuranAlem BTA Ipoteka JSC (Almaty). Provided all bonds
are circulating the sum of payment makes KZT12.5 m. According to the
terms of issue payment must be made until January 13, 2009 inclusive.
December 29 - 31 the period of the face value and the sixth coupon
payment to holders of bonds KZ2CKY03B773 (KASE official list, the first
sub-category of category "Non-rated debt securities", ULBAb1; KZT1 000;
KZT2.0 bn.; 26.12.05 - 26.12.08 semiannual coupon 8.25 % APR) of Ulba
Metallurgic Plant JSC (Ust-Kamenogorsk). Provided all bonds are
circulating the sum of payment makes KZT2,082.5 m. According to the
terms of issue payment must be made until July 9, 2009 inclusive.
December 29 - 31 - the period of the sixth coupon payment to holders of
the following bonds of Bank CenterCredit JSC :
- KZPC4Y10B653 (KASE official list, the first sub-category of category
"Non-rated debt securities", CCBNb11; KZT100; KZT2.0 bn.; 27.12.05 -
27.12.15 semiannual coupon indexed on inflation rate 10.00 % APR as
for the current period) - Provided all bonds are circulating the sum of
payment makes KZT100.0 m;
- KZPC5Y05B650(KASE official list, the first sub-category of category
"Non-rated debt securities", CCBNb12; KZT100; KZT5.0 bn.; 27.12.05 -
27.12.10 semiannual coupon 9.00 % APR) - Provided all bonds are
circulating the sum of payment makes KZT225.0 m.;
According to the terms of issue payment must be made until January 15,
2009 inclusive.
December 29 - 31 the period of the first coupon payment to holders of
bonds KZP12Y10B650 (KASE official list, the first sub-category of category
"Non-rated debt securities", CCBNb19; KZT100; KZT6.0 bn.; 27.06.08 -
27.06.18 semiannual coupon 11.00 % APR, 30/360) of Bank CenterCredit
JSC (Almaty). Provided all bonds are circulating the sum of payment makes
KZT330.0 m. According to the terms of issue payment must be made until
January 15, 2009 inclusive.
December 28 the date of the third coupon payment to holders of bonds
KZPC3Y10C117 (BTAIb13) of Daughter mortgage organization of joint
stock company Bank TuranAlem BTA Ipoteka JSC. Provided all bonds
are circulating the sum of payment makes KZT35.0 m. According to the
terms of issue payment must be made until January 6, 2009 inclusive.
December 29 -31 the period of the second coupon payment to holders of
bonds KZ2C0Y05C622 (KASE official list, the second sub-category of
category "Non-rated debt securities", ZERDb1; KZT1 000; KZT5.0 bn.;
28.12.07 - 28.12.12 semiannual coupon 10.00 % APR) of Kazcat JSC
(Almaty). Provided all bonds are circulating the sum of payment makes
KZT250.0 m. According to the terms of issue payment must be made until
January 6, 2009 inclusive.
December 29 - 31 the period of the fifth coupon payment to holders of
subordinated bonds KZPC3Y08B873 (KASE official list, the first sub-
category of category "Non-rated debt securities", TSBNb5; KZT1; KZT3.0
bn.; 28.06.06 - 28.06.14 semiannual coupon indexed on inflation rate
10.00 % APR as for the current period) of Tsesnabank JSC (Astana).
Provided all bonds are circulating the sum of payment makes KZT150.0 m.
According to the terms of issue payment must be made until January 14,
2009 inclusive.
December 29 - 31 the period of the fifth coupon payment to holders of
bonds KZPC2Y05C051 (KASE official list, the first sub-category of category
"Non-rated debt securities", KASTb2; KZT1 000; KZT6.0 bn.; 28.06.06 -
28.06.11 semiannual coupon indexed on inflation rate 11.00 % APR as for
the current period) of KAZEXPORTASTYK Holding JSC (Astana). Provided
all bonds are circulating the sum of payment makes KZT330.0 m. According
to the terms of issue payment must be made until January 14, 2009
inclusive.
December 29 - 31 the period of the fourth coupon payment to holders of
bonds KZPC1Y05C285 (KASE official list, the first sub-category of category
"Non-rated debt securities", KAFIb1; KZT1 000; KZT3.0 bn.; 28.12.06 -
28.12.11 semiannual coupon indexed on inflation rate 9.02 % APR as for the
current period) of KazAgroFinance JSC (Astana). Provided all bonds are
circulating the sum of payment makes KZT135,300.0 th. According to the
terms of issue payment must be made until January 14, 2009 inclusive.
December 29 - 31 the period of the ninth coupon payment to holders of
subordinated bonds (KASE official list, the first sub-category of category
"Non-rated debt securities", HSBKb4; KZT1; KZT5.0 bn.; 28.06.04 -
28.06.10 semiannual coupon indexed on inflation rate 12.00 % APR as for
the current period) KZPC2Y06B192 of Halyk Savings Bank of Kazakhstan
JSC (Almaty). Provided all bonds are circulating the sum of payment makes
KZT525.0 m. According to the terms of issue payment must be made until
January 6, 2009 inclusive.
December 29 - 31 the period of the fifth coupon payment to holders of
bonds KZ2C0Y03C064 (KASE official list, the second sub-category of
category "Non-rated debt securities", BIGRb1; KZT1; KZT3.0 bn.; 28.06.06 -
28.06.09 semiannual coupon 9.00 % APR, 30/360)of BUILD
INVESTMENTS GROUP JSC (Astana). Provided all bonds are circulating
the sum of payment makes KZT135.0 m. According to the terms of issue
payment must be made until January 14, 2009 inclusive.
December 29 - the register of holders of mortgage bonds KZPC3Y07B552
(KASE official list, the first sub-category of category "Non-rated debt
securities", TEBNb6; KZT1; KZT4.0 bn.; 30.12.05 - 30.12.12 semi-annual
coupon indexed on inflation rate 10.00 % APR as for the current period) of
Subsidiary of BTA Bank JSC - Temirbank JSC (Almaty) will be fixed. The
register is fixed for the sixth coupon payment.
December 29 - the register of holders of bonds KZPC2Y03B553 (KASE
official list, the first sub-category of category "Non-rated debt securities",
TEBNb5; KZT1; KZT3.0 bn.; 30.12.05 - 30.12.08 semi-annual coupon
9.75 % APR) of Subsidiary of BTA Bank JSC - Temirbank JSC (Almaty)
will be fixed. The register is fixed for the face value and the sixth coupon
payment.
December 29 -31 the period of the second coupon payment to holders of
bonds KZ2C0Y05C762 (KASE official list, the second sub-category of
category "Non-rated debt securities", RMXRb1; KZT1 000; KZT2.0 bn.;
29.12.07 - 29.12.12 semiannual coupon 12.00 % APR) of REMIX-R JSC
(Almaty). Provided all bonds are circulating the sum of payment makes
KZT120.0 m. According to the terms of issue payment must be made until
January 7, 2009 inclusive.
December 29 -31 the period of the fourth coupon payment to holders of
bonds KZP03Y03C991 (STF RFCA official list, the first sub-category of
category "Non-rated debt securities", aAPKIb3; KZT1 000; KZT10.0 bn.;
29.08.08 - 29.08.11 monthly coupon 12.00 % APR) of Corporation AIC-
Invest LLC. Provided all bonds are circulating the sum of payment makes
KZT100.0 m. According to the terms of issue payment must be made until
January 14, 2009 inclusive.
December 29 - the register of holders of bonds KZPC1Y04B420 (KASE
official list, the first sub-category of category "Non-rated debt securities",
NRBNb4; KZT100; KZT10.0 bn.; 30.12.04 - 30.12.08 semi-annual coupon
8.00 % APR) of Nurbank JSC (Almaty) will be fixed. The register is fixed for
the face value and the eighth coupon payment.
December 29 -31 the period of the face value and the tenth coupon payment
to holders on devaluation rate of tenge to US dollar bonds
KZ2CKY05A960 (KASE official list, the first sub-category of category "Non-
rated debt securities", KARMb2; KZT1 000; KZT11.1 bn.; 29.12.03 -
29.12.08 semiannual coupon indexed on inflation rate 14.00 % APR as for
the current period) of Karazhanbasmunai JSC (Aktau). Provided all bonds
are circulating the sum of payment makes KZT11,877.0 m. According to the
terms of issue payment must be made until January 14, 2009 inclusive.
December 29 the date of the eighth coupon payment to holders mortgage
bonds KZ2CKY10B455 (KASE official list, the first sub-category of category
"Non-rated debt securities", CCBNb6; KZT1 000; KZT1.3 bn.; 29.12.04 -
29.12.14 semiannual coupon indexed on inflation rate 12.00 % APR as fro
the current period) of Bank CenterCredit JSC (Almaty). Provided all bonds
are circulating the sum of payment makes KZT78.0 m.
December 29 - the register of holders of bonds KZ2CKY03B815 (KASE
official list, the second sub-category of category "Non-rated debt securities",
BTLZb1; KZT100; KZT2.0 bn.; 30.12.05 - 30.12.08 annual coupon indexed
on inflation rate 10.00 % APR as for the current period) of BTA ORIX
Leasing JSC (Almaty) will be fixed. The register is fixed for the face value
and the third coupon payment.
December 29 -31 the period of the fifth coupon payment to holders of
subordinated bonds KZ2C0Y30C125 (KASE official list, the first sub-
category of category "Non-rated debt securities", BTASb7; KZT10 000;
KZT125.0 bn.; 29.06.06 - 29.06.36 semiannual coupon 7.00 % APR) of BTA
Bank JSC (Almaty). Provided all bonds are circulating the sum of payment
makes KZT4,375.0 m. According to the terms of issue payment must be
made until January 14, 2009 inclusive.
December 29 - the register of holders of subordinated bonds
KZ2CKY10B828 (KASE official list, the first sub-category of category "Non-
rated debt securities", BTASb5; KZT10,000; KZT20.0 bn.; 30.12.05 -
30.12.15 semi-annual coupon 7.00 % APR) of BTA Bank JSC (Almaty) will
be fixed. The register is fixed for the sixth coupon payment.
December 29 - the register of holders of subordinated bonds
KZPC1Y10B634 (KASE official list, the first sub-category of category "Non-
rated debt securities", ASFIb7; KZT100; KZT8.0 bn.; 30.06.05 - 30.06.15
semi-annual coupon indexed on inflation rate 12.50 % APR as for the current
period) of Astana-finance JSC (Astana) will be fixed. The register is fixed
for the seventh coupon payment.
December 30 - the register of holders of subordinated bonds
KZPC4Y10B190 (KASE official list, the first sub-category of category "Non-
rated debt securities", HSBKb7; KZT1; KZT4.0 bn.; 31.12.04 - 31.12.14
semi-annual coupon 7.50 % APR) of Halyk Savings Bank of Kazakhstan
JSC (Almaty) will be fixed. The register is fixed for the eighth coupon
payment.
December 30 -31 the period of the seventh coupon payment to holders of
subordinated bonds KZPC1Y10B634 (ASFIb7) of Astana-finance JSC.
Provided all bonds are circulating the sum of payment makes KZT500.0 m.
According to the terms of issue payment must be made until January 15,
2009 inclusive.
December 30 -31 the period of the sixth coupon payment to holders of
subordinated bonds KZ2CKY10B828 (BTASb5) of BTA Bank JSC.
Provided all bonds are circulating the sum of payment makes KZT700.0 m.
According to the terms of issue payment must be made until January 15,
2009 inclusive.
December 30 -31 the period of the sixth coupon payment to holders of
subordinated bonds KZ2CKY10B828 (BTASb5) of BTA Bank JSC.
Provided all bonds are circulating the sum of payment makes KZT700.0 m.
According to the terms of issue payment must be made until January 15,
2009 inclusive.
December 30 -31 the period of the sixth coupon payment to holders of
subordinated bonds KZ2CKY10B828 (BTASb5) of BTA Bank JSC.
Provided all bonds are circulating the sum of payment makes KZT700.0 m.
According to the terms of issue payment must be made until January 15,
2009 inclusive.
December 30 the date of the face value and the eighth coupon payment to
holders of bonds KZPC1Y04B420 (NRBNb4) of Nurbank JSC. Provided
all bonds are circulating the sum of payment makes KZT10,400.0 m.
December 30 -31 the period of the face value and the sixth coupon payment
to holders of bonds KZPC2Y03B553 (TEBNb5) of Subsidiary of BTA
Bank JSC - Temirbank JSC. Provided all bonds are circulating the sum of
payment makes KZT3,146,250.0 th. According to the terms of issue
payment must be made until January 15, 2009 inclusive.
December 30 -31 the period of the sixth coupon payment to holders of
mortgage bonds KZPC3Y07B552 (TEBNb6) of Subsidiary of BTA Bank
JSC - Temirbank JSC. Provided all bonds are circulating the sum of
payment makes KZT200.0 m. According to the terms of issue payment must
be made until January 15, 2009 inclusive.
December 30 -31 the period of the face value and the third coupon payment
to holders of bonds KZ2CKY03B815 (BTLZb1) of BTA ORIX Leasing
JSC. Provided all bonds are circulating the sum of payment makes
KZT2,200.0 m. According to the terms of issue payment must be made until
January 15, 2009 inclusive.
December 31 the date of the eighth coupon payment to holders of
subordinated bonds KZPC4Y10B190 (HSBKb7) of Halyk Savings Bank
of Kazakhstan JSC. Provided all bonds are circulating the sum of payment
makes KZT150.0 m. According to the terms of issue payment must be made
until January 9, 2009 inclusive.
January 1 - the register of holders of bonds KZP03Y03C991 (STF RFCA
official list, the second sub-category of category "Non-rated debt securities",
aAESOb1; KZT1; KZT900.0 m.; 02.07.08 - 02.07.15 semi-annual coupon
15.00 % APR;30/360) of Almatyenergosbyt LLP (Almaty) will be fixed. The
register is fixed for the first coupon payment.
January 2 the date of the first coupon payment to holders of bonds
KZP03Y03C991 (aAESOb1) of Almatyenergosbyt LLP. Provided all bonds
are circulating the sum of payment makes KZT67.5 m. According to the
terms of issue payment must be made until January 19, 2009 inclusive.
January 2 - the register of holders of bonds KZ2C0Y07C826 (KASE official
list, the first sub-category of category "Non-rated debt securities", SATCb1;
KZT100; KZT15.0 bn.; 03.01.08 - 03.01.15 semi-annual coupon indexed on
inflation rate 12.00 % APR as for the current period) of SAT & Company
JSC (Almaty) will be fixed. The register is fixed for the second coupon
payment.
January 2 - the register of holders of bonds KZPC1Y03C348 (KASE official
list, the second sub-category of category "Non-rated debt securities",
ASAVb1; KZT1,000; KZT1.0 bn.; 03.01.07 - 03.01.10 semi-annual coupon
indexed on inflation rate 9.50 % APR; 30/360) of ASIA AVTO JSC (Ust-
Kamenogorsk) will be fixed. The register is fixed for the fourth coupon
payment.
January 2 - the register of holders of bonds KZ2P0Y03C772 (KASE official
list, the second sub-category of category "Non-rated debt securities",
KSM2b1; KZT100; KZT1.5 bn.; 03.01.08 - 03.01.11 annual coupon 12.00 %
APR; 30/360) of KSMK-2 LLP (Almaty obl.) will be fixed. The register is fixed
for the first coupon payment.
January 2 the date of the third coupon payment to holders of bonds
KZPC1Y03C348 (ASAVb1) of ASIA AVTO JSC. Provided all bonds are
circulating the sum of payment makes KZT47.5 m. According to the terms of
issue payment must be made until January 5, 2009 inclusive.
January 2 the date of the first coupon payment to holders of bonds
KZ2P0Y03C772 (KSM2b1) of KSMK-2 LLP. Provided all bonds are
circulating the sum of payment makes KZT180.0 m. According to the terms
of issue payment must be made until January 19, 2009 inclusive.
January 3 the date of the second coupon payment to holders of bonds
KZ2C0Y07C826 (SATCb1) of SAT & Company. Provided all bonds are
circulating the sum of payment makes KZT900.0 m. According to the terms
of issue payment must be made until January 19, 2009 inclusive.
January 4 - the register of holders of mortgage bonds KZ2CKY05B752
(KASE official list, the second sub-category of category "Non-rated debt
securities", DNBNb1; KZT1,000; KZT1.0 bn.; 05.01.06 - 05.01.11 semi-
annual coupon indexed on inflation rate 10.50 % APR as for the current
period) of Danabank JSC (Almaty) will be fixed. The register is fixed for the
sixth coupon payment.
January 4 the date of the eleventh coupon payment to holders of
subordinated bonds KZ2CKY07A792 (KASE official list, the first sub-
category of category "Non-rated debt securities", TXBNb2; KZT1; KZT3.0
bn.; 04.07.03 - 04.07.10 semiannual coupon 11.00 % APR) of SB Sberbank
JSC (Almaty). Provided all bonds are circulating the sum of payment makes
KZT165.0 m. According to the terms of issue payment must be made until
January 5, 2009 inclusive.
[2008-12-26]