/KASE, March 12, 2019/ – Kazakhstan Stock Exchange (KASE) notifies you that as
of March 13, 2019, details of bonds KZ2C00003135 (KASE main market, category
"bonds", ATFBb15; KZT1,000, KZT60.0 bn; February 10, 2015 – January 10, 2026;
semi-annual coupon, will be defined upon results of the first successful
trading session on bonds offering; 30/360) will be changed in KASE trading
system and data bases.
The following parameters of said bond issuance will be changed:
- the circulation start date – from the date of inclusion of said bonds in KASE
official list to the date of the first successful trading session on bonds
- the maturity – from 10 years and eleven months to seven years.
Amendments to said bonds' issue prospectus are available on KASE website
(in Kazakh and Russian) –