/KASE, December 23, 2019/ – Private Asset Management (Almaty), the representative
of holders of bonds KZ2C00001634 (KASE main market, category "bonds", KASTb3) of
KAZEXPORTASTYK Holding (Nur-Sultan) has informed KASE "about fact of default on
payment of coupon interest on bonds of KAZEXPORTASTYK Holding (ISIN – KZ2C00001634)
for periods from February 23, 2015 until July 17, 2015 and from July 18, 2018
until November 15, 2019 in the amount of KZT5,222,837,772.23. "
This information is available on KASE website (in Russian) –
http://kase.kz/files/emitters/KAST/priv__letters_to_kase_201219.pdf
[2019-12-23]