Bonds KZP01Y10F191 (KZ2P00003528, KSYSb1) of Kazakhstan utility systems underwent listing on KASE by "other debt securities" category
28.12.15 12:04
/KASE, December 28, 15/ – Following the decision of Kazakhstan Stock
Exchange (KASE) Listing Commission of December 25, 2015, bonds
KZP01Y10F191 (KZ2P00003528; KZT1,000, KZT2.62 bn; 10 years, fixed semi-
annual coupon 10.0 % p.a., 30/360) of LLP "Kazakhstan utility systems"
(Astana) were included in the "other debt securities" category of KASE official
list.
The Listing Commission decision's effective date will be announced additionally
after the named issuer fulfills terms set in item 1 of Article 18 of KASE
internal document "Listing Rules".
Opening of KASE trading in these bonds will also be announced additionally.
The mentioned bond issue is the first one under the first bond program of
LLP "Kazakhstan utility systems" registered by the National Bank of
Republic of Kazakhstan on December 15, 2015 to the total amount of KZT12.34
bn, and the first issue of "internal" bonds of the mentioned issuer which
underwent a listing procedure on KASE.
BCC Invest – subsidiary organization of Bank CenterCredit JSC (Almaty) is
the financial adviser and the underwriter of LLP "Kazakhstan utility systems".
Eurasian Capital JSC (Almaty) is the representative of holders of the said
bonds.
The said bonds were assigned an abbreviation (trade code) KSYSb1
More detailed information on the said bond issues will be published on KASE
website after the Listing Commission's decision becomes effective.
[2015-12-28]