Subordinate bonds of Bank CenterCredit OJSC of the 3rd issue have passed listing procedure at KASE under "А" category

27.06.03 00:00
/KASE, June 27, 03/ - By the decision of Kazakhstan stock exchange's (KASE) Council dated June 27 of 2002 inscribed subordinate bonds of Bank CenterCredit OJSC (Almaty) of the third issue (KZ2CRY07A750, KZT2,000.0 m.; KZT1; semi-annual coupon with floating rate: 12.1% APR of the face value for the first half-year of circulation, afterwards - depending on inflation level, 30/360) have been included into KASE's official "А" listing category. At KASE the bonds were assigned trade code CCBNb3. This decision took effect since June 27 of 2003, because the issuer paid the entrance and the first annual listing fees for these securities and also made Agreement about securities listing with the stock exchange. Trades in the bonds at KASE will be opened since June 20 of 2003. Status of the market-maker of CCBNb3 at KASE, on the basis of application, has been assigned to KIB ASSET MANAGEMENT Ltd LLP (Almaty). Minimal volume of compulsory quotation for the market-maker is 1,700,000 bonds. [2003-06-27]