/KASE, May 27, 14/ – Centras Securities JSC (Almaty), the representative of
holders of the following Kaspi Bank (Almaty) bonds:
- KZP03Y10E059 (KZ2C00001964, KASE official list, Rated Debt Securities
category, CSBNb12; KZT100, KZT10.0 bn; February 7, 13 – February 7, 23;
semi-annual coupon indexed at inflation rate, 11.00 % APR for the current
coupon period; 30/360);
- KZP04Y05E057 (KZ2C00001972, KASE official list, Rated Debt Securities
category, CSBNb13; KZT100, KZT10.0 bn; February 7, 13 – February 7, 18;
semi-annual coupon 8.00 % APR; 30/360);
- KZP05Y05E054 (KZ2C00002111, KASE official list, Rated Debt Securities
category, CSBNb14; KZT100, KZT20.0 bn; June 21, 13 – June 21, 18; semi-annual
coupon 8.00 % APR; 30/360),
which are officially listed on Kazakhstan Stock Exchange (KASE), has provided
to KASE a report of mentioned bonds holders' representative as of January 1
and April 1, 2014.
The report is available on KASE website in Russian at:
-
http://www.kase.kz/files/emitters/CSBN/csbn_otchet_010114.pdf – as of
January 1, 2014;
-
http://www.kase.kz/files/emitters/CSBN/csbn_otchet_010414.pdf – as of
April 1, 2014.
[2014-05-27]