Schedule of events at corporate debt market of Kazakhstan from June 16 till June 22 of 2003

13.06.03 00:00
/IRBIS, June 13, 03/ - In the period from June 16 till June 22 of 2003 at Kazakhstan corporate debt market the following events will be held. June 16 Bank CenterCredit OJSC (Almaty) pays the fifth coupon on its bonds of the first issue (KZ75KARGCA53; KASE's official "A" listing category; CCBNb1; $100, $4.5 m.; December 16, 00 - December 17, 05, semi-annual coupon 12.0% APR). In case all bonds are in circulation sum of the payment will be equivalent of USD270.0 th., at the current stock exchange's rate. June 20 Halyk Bank of Kazakhstan OJSC (Almaty) pays the sixth coupon on its bonds of the first issue (KZA7KAKK6A78; KASE's official "A" listing category; HSBKb; $100, $16.0 m.; June 20, 00 - June 20, 07, semi-annual coupon 11.8% APR). In case all bonds are in circulation sum of the payment will be equivalent of USD944.0 th., at the rate of the National Bank of Kazakhstan, which will be in effect on payment date. June 20 Karazhanbasmunai OJSC (Aktau) pays the fifth coupon on its bonds of the first issue (KZ73BAQLBA36; KASE's official "A" listing category; KARMb1; $100, $20.0 m.; December 20, 00 - Deember 20, 03, semi-annual coupon 11.0% APR). In case all bonds are in circulation sum of the payment will be equivalent of USD1,100.0 th., at the rate of the National Bank of Kazakhstan, which will be in effect on payment date. June 21 register of holders of euronotes of KazTransOil CJSC (Astana) of the first issue (XS0132391938; KASE's official "A" listing category; KZTOe1; $150.0 m.; July 6, 01 - July 6, 06, semi-annual coupon 8.5% APR) is fixed. Register is fixed for the fourth coupon payment. Since June 23 till July 7 of 2003 the euronotes will be quoted at KASE taking into account accumulated interest that corresponds to the existing system of depositary accounting of securities. June 22 - planned date, on which KAZKOMMERTSBANK OJSC pays the fifth coupon on its subordinate euronotes of the second issue (XS0122349615; KASE's official "A" listing category; KKGBe2; $20.0 m., December 22, 00 - December 22, 07, semi-annual coupon 11.0% APR). In case all bonds are in circulation sum of the payment will be USD1,100.0 th. [2003-06-13]