Kazakhstan corporate debt market schedule for period of July 11 - 17, 2011

08.07.11 16:19
/IRBIS, July 8, 2011/ - In the period of July 11-17, 2011 on the stock exchange corporate debt market of Kazakhstan 17 listing companies will implement the coupon payment (or maturity) on 18 bond issues. Details of Kazakhstan corporate debt market schedule are specified below: ---------------------------------------------------------------- Date of Payment Circulation Rate, fixation period Bonds period % APR Outpayments -------- ----------- ------------ ----------- ------ ----------- "SAT & Company" JCS (Almaty) ---------------------------------------------------------------- 11.07.11 KZ2C0Y07C826 03.01.08 9.80* 735.0 mln - 18.07.11 (SATCb1) - 03.01.15 KZT ---------------------------------------------------------------- BankCenterCredit" JCS (Almaty) ---------------------------------------------------------------- 11.07.11 KZP12Y10B650 27.06.08 11.00 330.0 mln - 17.07.18 (CCBNb19) - 27.06.18 KZT 15.07.11 XS0282585859 30.01.07 8.625 (CCBNe4) - 30.01.14 ---------------------------------------------------------------- Subsidiary hypothecary organization of BTA Bank joint-stock company BTA Ipoteka JSC ---------------------------------------------------------------- 12.07.11 13.07.11 KZPC1Y07B648 13.07.05 8.80* 176.0 mln - 19.07.11 (BTAIb7) - 13.07.12 KZT ---------------------------------------------------------------- Mortgage organization "Kazakhstan Mortgage Company" JSC (Almaty) ---------------------------------------------------------------- 14.07.11 15.07.11 KZPC4Y10B547 15.01.07 7.50* 187.5 mln - 22.07.11 (KZIKb16) - 15.01.17 KZT 14.07.11 15.07.11 KZP04Y04C492 15.07.09 11.00* 275.0 mln - 28.07.11 (KZIKb19) - 15.07.13 KZT ---------------------------------------------------------------- "KazInvestBank" JCS (Almaty) ---------------------------------------------------------------- 11.07.11 KZP01Y05D782 29.06.10 10.00 200.0 mln - 14.07.11 (KIBNb5) - 29.06.15 KZT ---------------------------------------------------------------- "Kazkommertsbank" JCS (Almaty) ---------------------------------------------------------------- 12.07.11 XS0262468654 27.07.06 8.625 (KKGBe21) - 27.07.16 ---------------------------------------------------------------- "Tsesna" Corporation" JCS, Astana ---------------------------------------------------------------- 17.07.11 KZP01Y07D713 18.01.10 9.00 (TSNAb2) - 18.01.17 ---------------------------------------------------------------- "Logycom" JCS (Almaty) ---------------------------------------------------------------- 11.07.11 KZ2C0Y05D281 31.12.08 11.00 93.5 mln - 13.07.11 (LOGCb2) - 31.12.13 KZT ---------------------------------------------------------------- "National Company "KazMunaiGaz" JCS (Astana) ---------------------------------------------------------------- 11.07.11 KZ2C0Y35D528 03.07.09 5.00 4 750.0 mln - 18.07.11 (KMGZb1) - 03.07.44 KZT ---------------------------------------------------------------- "Halyk Savings Bank of Kazakhstan" JCS (Almaty) ---------------------------------------------------------------- 11.07.11 KZPC6Y10B195 06.07.05 7.50 112.5 mln - 16.07.11 (HSBKb9) - 06.07.15 KZT ---------------------------------------------------------------- "SevKazEnergo" JCS (Petropavlovsk) ---------------------------------------------------------------- 11.07.11 KZ2C0Y10D695 10.01.10 12.50 500.0 mln - 22.07.11 (SKENb1) - 10.01.20 KZT ---------------------------------------------------------------- "Temirbank" JCS (Almaty) ---------------------------------------------------------------- 11.07.11 KZP01Y17B559 30.12.05 8.00 160.0 mln - 14.07.11 (TEBNb6) - 30.1222 KZT -------- ----------- ------------ ----------- ------ ----------- 11.07.11 KZP01Y20B553 07.07.05 8.00 200.0 mln - 20.07.11 (TEBNb4) - 07.07.25 KZT ---------------------------------------------------------------- "Tsesnabank" JCS (Astana) ---------------------------------------------------------------- 11.07.11 KZPC3Y08B873 28.06.06 8.30* 124.5 mln (TSBNb5) - 28.06.14 KZT -------- ----------- ------------ ----------- ------ ----------- 11.07.11 KZPC1Y20C367 11.07.07 7.50 150.0 mln - 22.0711 (TSBNb7) - 11.07.27 KZT -------- ----------- ------------ ----------- ------ ----------- "Samruk-Kazyna" National Wellfare Fund" JCS (Astana) ---------------------------------------------------------------- 11.07.11 KZ2C0Y35D510 03.07.09 4.00 3 800.0 mln - 18.07.11 (SKKZb21) - 03.07.44 KZT -------- ----------- ------------ ----------- ------ ----------- "Eximbank-Kazakhstan" JCS (Almaty) ---------------------------------------------------------------- 12.07.11 13.07.11 KZP03Y07C299 13.07.08 9.00 450.0 mln - 26.07.11 (EXBNb3) - 13.07.15 KZT -------- ----------- ------------ ----------- ------ ----------- "APK-Invest" corp., Astana ---------------------------------------------------------------- 11.07.11 KZP03Y03C991 29.08.08 12.00 100.0 mln - 12.07.11 (APKIb3) - 29.08.11 KZT -------- ----------- ------------ ----------- ------ ----------- "Ekibaztus-GRES ¦1" LLP (Pavlodar region) ---------------------------------------------------------------- 11.07.11 KZ2P0Y05D650 30.12.09 12.00 600.0 mln - 14.07.11 (EKGSb1) - 30.12.14 KZT ---------------------------------------------------------------- * 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. [2011-07-08]