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Market and Company News
30.12.2011 16:38 #

Kazakhstani corporate debt market schedule for period of January 2-8, 2012

/IRBIS, December 30, 2011/ - In the period of January 2-8, 2012 on the stock market of corporate debt market of Kazakhstan 19 listing companies will implement the coupon payment (or maturity) on 26 bond issues.

Details of Kazakhstan corporate debt market schedule are specified below:

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Date of  Payment                  Circulation  Rate,
fixation period      Bonds             period  % APR  Outpayments
-------- ----------- ------------ ----------- ------ ------------
Capital Hotels JCS (Almaty)
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         02.01.12    KZ2C0Y07D923    06.06.11   9.00    54.0 mln.
          - 06.01.12 (CAHOb1)      - 06.06.18                 KZT
-----------------------------------------------------------------
Kaspi Bank JCS (Almaty)
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         02.01.12    KZP04Y10B467    01.07.09 10.30*   309.0 mln.
          - 11.01.12 (CSBNb8)      - 01.07.19                 KZT
         02.01.12    KZP05Y10B464    01.07.09 10.30*  283.25 mln.
          - 11.01.12 (CSBNb9)      - 01.07.19                 KZT
-----------------------------------------------------------------
Mineral Resources of Central Asia JCS (Almaty)
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         02.01.12    KZ2C0Y05C622    28.12.07  10.00   250.0 mln.
          - 06.01.12 (ZERDb1)      - 28.12.13                 KZT
-----------------------------------------------------------------
SAT & Company JCS (Almaty)
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02.01.12 03.01.12    KZ2C0Y07C826    03.01.08 10.40*   780.0 mln.
          - 18.01.12 (SATCb1)      - 03.01.15                 KZT
-----------------------------------------------------------------
ABDI Company JCS (Almaty)
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07.01.12 08.01.12    KZ2C0Y05C804    08.01.08  8.80*   792.0 mln.
          - 18.01.12 (ABDIb1)      - 08.01.13                 KZT
-----------------------------------------------------------------
Agrarian credit corporation JCS (Astana)
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         02.01.12    KZP01Y03D951    29.06.11   8.00   120.0 mln.
          - 17.01.12 (AGKKb2)      - 29.06.14                 KZT
-----------------------------------------------------------------
BankCenterCredit JCS (Almaty)
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         02.01.12    KZPC4Y10B653    27.12.05  9.60*    96.0 mln.
          - 16.01.12 (CCBNb11)     - 27.12.15                 KZT
         02.01.12    KZP12Y10B650    27.06.08  11.00   330.0 mln.
          - 17.01.12 (CCBNb19)     - 27.06.18                 KZT
-----------------------------------------------------------------
Subsidiary hypothecary organization of BTA JCS BTA Ipoteka JCS
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         02.01.12    KZP03Y10C111    28.12.06   7.00    35.0 mln.
          - 04.01.12 (BTAIb13)     - 28.12.16                 KZT
-----------------------------------------------------------------
Kazinvestbank JCS (Almaty)
-----------------------------------------------------------------
         02.01.12    KZP01Y05D782    29.06.10  10.00   200.0 mln.
          - 17.01.12 (KIBNb5)      - 29.06.15                 KZT
-----------------------------------------------------------------
LOGYCOM JCS (Almaty)
-----------------------------------------------------------------
         02.01.12    KZ2C0Y05D281    31.12.08  11.00    93.5 mln.
          - 16.01.12 (LOGCb2)      - 31.12.13                 KZT
-----------------------------------------------------------------
Halyk Savings Bank of Kazakhstan JCS (Almaty)
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         02.01.12    KZPC4Y10B190    31.12.04   7.50   150.0 mln.
          - 10.01.12 (HSBKb7)      - 31.12.14                 KZT
05.01.12 06.01.12    KZPC6Y10B195    06.07.05   7.50   112.5 mln.
          - 16.01.12 (HSBKb9)      - 06.07.15                 KZT
-----------------------------------------------------------------
National Company "KazMunaiGas" JCS (Astana)
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         02.01.12    XS0373642585    02.07.08  8.375   $58.6 mln.
                     (KMGZe1)      - 02.07.13
         02.01.12    XS0373641009    02.07.08  9.125   $73.0 mln.
                     (KMGZe2)      - 02.07.18
02.01.12 03.01.12    KZ2C0Y35D528    03.07.09   5.00 4,750.0 mln.
          - 19.01.12 (KMGZb1)      - 03.07.44                 KZT
-----------------------------------------------------------------
Temirbank JCS (Almaty)
-----------------------------------------------------------------
         02.01.12    KZP01Y17B559    30.12.05   8.00   160.0 mln.
          - 18.01.12 (TEBNb6)      - 30.12.22                 KZT
06.01.12 07.01.12    KZP01Y20B553    07.07.05   8.00   200.0 mln.
          - 23.01.12 (TEBNb4)      - 07.07.25                 KZT
-----------------------------------------------------------------
Sovereign Wealth Fund "Samruk-Kazyna" JCS (Astana)
-----------------------------------------------------------------
         02.01.12    KZ2C0Y35D510    03.07.09   4.00 7,600.0 mln.
          - 18.01.12 (SKKZb21)     - 03.07.44                 KZT
-------- ----------- ------------ ----------- ------ ------------
Tsesnabank JCS (Astana)
-----------------------------------------------------------------
         02.01.12    KZPC3Y08B873    28.06.06  9.40*   141.0 mln.
          - 12.01.12 (TSBNb5)      - 28.06.14                 KZT
         02.01.12    KZP04Y07C362    30.06.11   8.00   180.0 mln.
          - 17.01.12 (TSBNb10)     - 30.06.18                 KZT
-------- ----------- ------------ ----------- ------ ------------
ECOTON+ JCS (Almaty)
-----------------------------------------------------------------
         02.01.12    KZ2C0Y14C210    16.10.06  10.00    25.0 mln.
          - 17.01.12 (EKTNb1)      - 16.08.20                 KZT
-------- ----------- ------------ ----------- ------ ------------
Almatyenergosbyt LLP (Almaty)
-----------------------------------------------------------------
         02.01.12    KZ2P0Y07D045    02.07.08  15.00    67.5 mln.
                     (AESOb1)      - 02.07.15                 KZT
-------- ----------- ------------ ----------- ------ ------------
Corporation "APK-Invest" LLP (Astana)
-----------------------------------------------------------------
         02.01.12    KZP02Y05D988    27.06.11  10.00   500.0 mln.
          - 13.01.12 (APKIb5)      - 27.06.16                 KZT
-------- ----------- ------------ ----------- ------ ------------
Ekibastuz GRES-1 n.a. Bolat Nurzhanov LLP (Pavlodar region)
-----------------------------------------------------------------
         02.01.12    KZ2P0Y05D650    30.12.09  12.00   600.0 mln.
          - 18.01.12 (EKGSb1)      - 30.12.14                 KZT
-----------------------------------------------------------------
*     bonds indexed to inflation rate in Kazakhstan

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

[2011-12-30]