Bank CenterCredit (Kazakhstan) repaid bonds KZPC9Y03B659 (CCBNb16)

20.05.10 16:16
/KASE, May 20, 10/ - Bank CenterCredit (Almaty) informed Kazakhstan Stock Exchange (KASE) by the official letter on repayment on May 20, 2010 of its bonds KZPC9Y03B659 (KASE official list Non-rated Debt Securities first subcategory, CCBNb16; KZT100, KZT2.0 bn; May 16, 07 - May 16, 10; the semi-annual coupon 8.00 % APR; 30/360), within which was paid the last - sixth - coupon interest. According to the message the payment total amount made up KZT1,911,821,600.00, including the principal (bonds total face value) - KZT1,838,290,000.00, the sixth coupon interest - KZT73,531,600.00. KASE reminds that in compliance with the Exchange internal document "Rules of Exchange Information Dissemination", KASE is not responsible for authenticity of disseminated information on the Exchange members and securities issuers, admitted to circulation on the Exchange, if this information is based on messages and documents received by the Exchange from these members and securities issuers in pursuance of their obligations to the Exchange. KASE does not validate the mentioned messages and documents when developing this information. Individuals, willing to refute the information, published in this message, must apply to KASE by a corresponding official letter. [2010-05-20]