As of December 15, 2016 bonds KZP01Y05F191 (KZ2P00003528, KSYSb1) of Kazakhstan Utility Systems to be traded at "dirty" prices on KASE

15.12.16 10:36
/KASE, December 15, 2016/ – Following a decision of Kazakhstan Stock Exchange (KASE) Management Board as of December 15, 2016 bonds KZP01Y05F191 (KZ2P00003528; KASE official list, Other Debt Securities category, KSYSb1; KZT1,000, KZT2.62 bn; 5 years, semi-annual coupon 15.00 % APR, 30/360) of Kazakhstan Utility Systems (Astana) were transferred into the trading mode in "dirty" prices (taking into account the accrued interest), , expressed in percentage of the face value. [2016-12-15]