Kazakhstan utility systems announces redemption of bonds KZ2P00003528 (KSYSb1)
/KASE, April 8, 2021/ – Kazakhstan utility systems (Nur-Sultan) has informed
Kazakhstan Stock Exchange (KASE) about the redemption of its bonds
KZ2P00003528 (KSYSb1) on April 6, 2021, whereby the final – the tenth coupon
interest was paid on these bonds.
According to the said message, the total amount of payments on these bonds
amounted to KZT920,999,800, including the principal debt (total par value of
bonds) – KZT856,744,000, the tenth coupon interest – KZT64,255,800.