Premier Capital becomes KASE market-maker for Temirbank (Kazakhstan) bonds
25.03.11 14:55
/KASE, March 25, 11/ - Following a decision of Kazakhstan Stock Exchange (KASE)
Management Board after consideration of a request from Premier Capital (Almaty),
it has been assigned the status of a KASE market-maker for the following bonds
of Temirbank (Almaty), effective from April 3, 2011:
- KZ2C0Y20A641 (KASE official list, Rated Debt Securities Category, TEBNb3;
KZT0.01, KZT2.2 bn; October 20, 2002 - October 20, 2022, semi-annual coupon
8.00 % APR; 30/360);
- KZP01Y20B553 (KASE official list, Rated Debt Securities Category, TEBNb4;
KZT0.01, KZT5.0 bn; July 7, 2005 - July 7, 2025, semi-annual coupon 8.00 %
APR; 30/360);
- KZP01Y17B559 (KASE official list, Rated Debt Securities Category, TEBNb6;
KZT0.01, KZT4.0 bn; December 30, 2005 - December 30, 2022, semi-annual coupon
8.00 % APR; 30/360);
- KZP04Y19B559 (KASE official list, Rated Debt Securities Category, TEBNb7;
KZT0.01, KZT3,0 bn; June 1, 2006 - June 1, 2025, semi-annual coupon 8.00 %
APR; 30/360);
- KZP05Y16B552 (KASE official list, Rated Debt Securities Category, TEBNb8;
KZT0.01, KZT3.5 bn; June 1, 2006 - June 1, 2022, semi-annual coupon 8.00 %
APR; 30/360);
- KZP07Y20B550 (KASE official list, Rated Debt Securities Category, TEBNb10;
KZT0.01, KZT4.5 bn; November 29, 2006 - November 29, 2026, semi-annual coupon
8.00 % APR; 30/360);
- KZP08Y25B557 (KASE official list, Rated Debt Securities Category, TEBNb11;
KZT0.01, KZT4.0 bn; November 29, 2006 - November 29, 2031, semi-annual coupon
8.00 % APR; 30/360);
- KZP02Y15C336 (KASE official list, Rated Debt Securities Category, TEBNb13;
KZT0.01, KZT8.0 bn; April 14, 2007 - April 14, 2022, semi-annual coupon 8.00 %
APR; 30/360);
- KZP03Y19C336 (KASE official list, Rated Debt Securities Category, TEBNb14;
KZT0.01, KZT6.0 bn; April 14, 2007 - April 14, 2026, semi-annual coupon 8.00 %
APR; 30/360);
- KZP04Y19C334 (KASE official list, Rated Debt Securities Category, TEBNb15;
KZT0.01, KZT6.0 bn; April 14, 2007 - April 14, 2026, semi-annual coupon 8.00 %
APR; 30/360);
- KZP05Y20C339 (KASE official list, Rated Debt Securities Category, TEBNb16;
KZT0.01, KZT6.0 bn; April 14, 2007 - April 14, 2027, semi-annual coupon 8.00 %
APR; 30/360);
- KZP06Y20C337 (KASE official list, Rated Debt Securities Category, TEBNb17;
KZT0.01, KZT6.0 bn; April 14, 2007 - April 14, 2027, semi-annual coupon 8.00 %
APR; 30/360);
- KZP07Y10C336 (KASE official list, Rated Debt Securities Category, TEBNb18;
KZT0.01, KZT10.0 bn; March 15, 2010 - March 15, 2020; floating semi-annual
coupon, 8.00 % APR in the first circulation year; 30/360).
The minimum mandatory quotation volume for the market-maker has been set at
302,400,000 bonds on each issue.
[2011-03-25]