Since August 16, 2018, the issuer's trading system and databases have replaced the issuer on international bonds XS0867478124, XS0867573890 (BTASe16) of Kazkommertsbank and resumed trading with them

16.08.18 12:37
/KASE, August 16, 2018/ –In accordance with the decision of Kazakhstan Stock Exchange's (KASE) Board since August 16, 2018, in the trading system and databases of KASE, the issuer was exchanged for international bonds XS0867478124, XS0867573890 (KASE main market, category "bonds", BTASe16) from Kazkommertsbank to Halyk Savings Bank of Kazakhstan. The said decision was made on the basis of a letter of Halyk Savings Bank of Kazakhstan dated July 30, 2018, according to which the issuer was replaced from Kazkommertsbank to Halyk Savings Bank of Kazakhstan as part of the transfer of rights and obligations for these bonds on July 28, Central Depository of Securities in a letter dated August 15, 2018, informed KASE of a registered change in the name of the issuer from Kazkommertsbank to Halyk Savings Bank of Kazakhstan for the said bonds on August 14, 2018. By the same decision of the Board from August 16, 2018 on KASE trades in these bonds were resumed, which were suspended from July 30, 2018. Previously, on this topic was published KASE news from July 30, 2018 "From July 30 on KASE trades in common shares KZ1C00400016 (KZ000A0JC858, KKGB) and international bonds XS0867478124, XS0867573890 (BTASe16)of Kazkommertsbank were suspended" http://kase.kz/ru/news/show/1377624/ [2018-08-16]