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16.10.2009 21:25 #KASE news

Kazakhstan corporate debt market schedule from 19 to 25 October 2009

/IRBIS, Valeriya Grishenko, October 16, 09/ - In the period from 19 to 25 October 2009 on the stock exchange corporate debt market of Kazakhstan for 14 listed companies will implement the coupon payment (or maturity) to 23 bond issue.

Details of Kazakhstan corporate debt market schedule are specified below:

-------------------------------------------------------------------
Date of  Payment                   Circulation   Rate,
fixation period      Bonds              period   % APR  Outpayments
-------- ----------- ------------- ----------- ------- ------------

RG Brands JSC (Almaty)

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         19.10.09    KZPC2Y05B988     19.10.07    8.00  60.0 m. KTZ
         - 23.10.09   (RGBRb5)      - 19.10.12
         19.10.09    KZPC3Y07B982     19.10.07    8.00  80.0 m. KTZ
         - 23.10.09   (RGBRb6)      - 19.10.14
-------------------------------------------------------------------

VITA JSC(Almaty)

-------- ----------- ------------- ----------- ------- ------------
20.10.09 21.10.09    KZ2CKY05B539     21.04.05  10.45* 261.3 m. KTZ
          - 03.11.09  (VITAb4)      - 21.04.10
-------------------------------------------------------------------

Aliance bank (Almaty)

-------------------------------------------------------------------
         19.10.09    XS0251702618     19.04.06   9.375 $7,031.3 th.
                      (ASBNe3)      - 19.04.16
-------------------------------------------------------------------

Bank Center Credit JSC (Almaty)

-------- ----------- ------------- ----------- ------- ------------
         19.10.09    KZPC3Y10B655     08.10.05   9.70* 145.5 m. KTZ
         - 27.10.09  (CCBNb10)      - 08.10.15
         19.10.09    KZPC7Y10B656     10.10.06   9.70* 242.5 m. KTZ
         - 29.10.09   (CCBNb14)     - 10.10.16
         19.10.09    KZPC6Y10B658     13.04.06   9.70* 194.0 m. KTZ
         - 02.11.09   (CCBNb13)     - 13.04.16
25.10.09             KZPC8Y10B654     26.04.07   9.70*
                      (CCBNb15)     - 26.04.17
-------------------------------------------------------------------

Mortgage Subsidiary Organization of BTA Bank JSC , BTA Mortgage JSC (Almaty)

-------- ----------- ------------- ----------- ------- ------------
20.10.09 21.10.09    KZ2CKY10B257     21.10.04   10.2*  76.5 m. KTZ
                      (BTAIb2)      - 21.10.14
-------------------------------------------------------------------

Mortgage Subsidiary Organization of BTA Bank JSC , Temirbank JSC (Almaty)

-------------------------------------------------------------------
         19.10.09    KZPC1Y03C330     14.04.07    9.00 360.0 m. KTZ
         - 27.10.09   (TEBNb12)     - 14.04.10
         19.10.09    KZPC2Y05C333     14.04.07  9.00** $2,955.7 th.
         - 27.10.09   (TEBNb13)     - 14.04.12
         19.10.09    KZPC3Y09C333     14.04.07    9.50 285.0 m. KTZ
         - 27.10.09   (TEBNb14)     - 14.04.16
         19.10.09    KZPC4Y09C331     14.04.07  9.50** $2,339.9 th.
         - 27.10.09   (TEBNb15)     - 14.04.16
         19.10.09    KZPC5Y10C336     14.04.07  8.50** $2,093.6 th.
         - 27.10.09   (TEBNb16)     - 14.04.17
         19.10.09    KZPC6Y10C334     14.04.07   8.50* 255.0 m. KTZ
         - 27.10.09   (TEBNb17)     - 14.04.17
         20.10.09    KZ2CKY10A648     20.10.02 10.00**   $713.5 th.
                      (TEBNb3)      - 20.10.12
-------------------------------------------------------------------

Jairemski Mining and Processing Plant (Astana)

-------- ----------- ------------- ----------- ------- ------------
         19.10.09    KZ2CKY07B907     05.04.06   9.70* $1,468.1 th.
                      (JGOKb2)      - 05.04.13
-------------------------------------------------------------------

Kazakhstan Kagazy JSC(Almaty region)

-------- ----------- ------------- ----------- ------- ------------
         19.10.09    KZPC1Y05C020     07.04.06  10.20* 178.5 m. KTZ
          - 20.10.09 (KKAGb2)       - 07.04.11
-------------------------------------------------------------------

Kazkommertsbank JSC (Almaty)

-------- ----------- ------------- ----------- ------- ------------
19.10.09             XS0204868995     03.11.04    7.00
                      (KKGBe6)      - 03.11.09
19.10.09             XS0234488236     03.11.05    8.00
                      (KKGBe8)      - 03.11.15
-------------------------------------------------------------------

National Saving Bank of Kazakhstan (Almaty)

-------- ----------- ------------- ----------- ------- ------------
19.10.09 20.10.09    KZPC3Y10C018     20.04.06   6.10* 122.0 m. KTZ
         - 29.10.09   (HSBKb11)     - 20.04.16
19.10.09             XS0298931287     03.05.07    7.25
                      (HSBKe3)      - 03.05.17
-------------------------------------------------------------------

Transstroimost JSC(Almaty region)

-------------------------------------------------------------------
         19.10.09    KZ2CKY05B950     06.04.06  11.20* 280.0 m. KTZ
                      (TSSMb1)      - 06.04.11
-------------------------------------------------------------------

EKOTON +(Astana)

-------- ----------- ------------- ----------- ------- ------------
         19.10.09    KZ2C0405C218     16.10.06   10.00  50.0 m. KTZ
         - 29.10.09   (EKTNb1)      - 16.10.11
-------------------------------------------------------------------

Corporation AIC-Invest LLC (Аstana)

-------- ----------- ------------- ----------- ------- ------------
         19.10.09    KZP01Y03C995     11.04.08   12.00  50.0 m. KTZ
         - 23.10.09   (aAPKIb1)     - 11.04.11
19.10.09 20.10.09    KZP02Y03C993    20.05.08    12.00  50.0 m. KTZ
         - 02.11.09   (aAPKIb2)     - 20.05.11
-------------------------------------------------------------------

Credit association ORDA credit LLP(Shymkent)

-------------------------------------------------------------------
23.10.09 24.10.09    KZ2C0Y03C312     24.10.06   12.00  15.0 m. KTZ
         - 02.11.09   (ORDKb1)      - 24.10.09              (cupon)
                                                       500.0 m. KTZ
                                                          (nominal)
-------------------------------------------------------------------
*  bonds indexed to inflation rate
** bonds indexed to devaluation rate of KZT to USD

Notes

Date of fixation - is the register fixation date of bondholders. The absence of register fixation date in certain column says that register of bondholders was fixed before the specified period.

Payment period - is the period of the coupon payment/maturity according to bonds issue prospectus.

Outpayments - provides the sum of coupon interest payment/maturity, if total volume of these or those bonds is circulating.

[2009-10-16]