/KASE, December 15, 2016/ – In accordance with a decision of Kazakhstan Stock
Exchange (KASE) Management Board, as of December 15, 2016 the following information
on bonds KZP01Y10F191 (KZ2P00003528; KASE official list, category "other debt securities",
KSYSb1; KZT1,000, KZT2.62 bn; 10 years; semi-annual coupon 10.00 % APR; 30/360) of
Kazakhstan utility systems (Astana) was changed in KASE trading system and data bases:
- the national identification number (NIN) was changed from KZP01Y10F191 to
KZP01Y05F191;
- the interest rate was changed from 10.00 % APR to 15.0 % APR;
- the circulation term was changed from 10 to five years.
This decision was taken based on copies of the certificate of the National Bank
of Republic of Kazakhstan on state registration of the securities issue of
December 9, 2016 and amendments to the bonds issue prospectus –
http://www.kase.kz/files/emitters/KSYS/ksysf9_KSYSb1_izm_091216.pdf
[2016-12-15]