Schedule of events at corporate debt market of Kazakhstan from September 1 till September 7 of 2003
29.08.03 00:00
/IRBIS, August 29, 03/ - In the period from September 1 till September 7 of
2003 at Kazakhstan exchange market of corporate debt the following events will
be held.
September 1 register of holders of indexed on tenge devaluation level bonds of
Astana-Finance OJSC (Astana) of the second issue (KZ2CKY03A510; KASE's
official "A" listing category, ASFIb2; KZT100, KZT4,500.0 m.; April 1, 02 -
April 1, 05; semi-annual coupon 9.0% APR) is fixed. Register is fixed for the
third coupon payment. Since September 2 till October 10 of 2003 the bonds will
be quoted at KASE without accumulated interest.
September 1 register of holders of indexed on tenge devaluation level bonds of
Bank CenterCredit OJSC (Almaty) of the second issue (KZ2CKY07A503, KASE's
official "A" listing category, CCBNb2; KZT15,000, KZT1,500.0 m.; April 1, 02 -
April 1, 09; semi-annual coupon 10.0% APR) is fixed. Register is fixed for the
third coupon payment. Since September 2 till October 10 of 2003 the bonds will
be quoted at the stock exchange without accumulated interest.
September 1 register of holders of indexed on tenge devaluation level bonds of
NAC Kazatomprom CJSC (Almaty) of the first issue (KZ2CKY05A523, KASE's
official "A" listing category, KZAPb1; KZT100, KZT2,300.0 m.; April 1, 02 -
April 1, 07; semi-annual coupon 8.5% APR) is fixed. Register is fixed for the
third coupon payment. Since September 2 till October 10 of 2003 the bonds will
be quoted at KASE without accumulated interest.
September 1 - planned date on which TEXAKABANK OJSC (Almaty) pays the
fourth coupon to holders of bonds of the first issue (KZ2CKY05A416; KASE's
official "A" listing category, TXBNb1; KZT1,000, KZT1,500.0 m.; September 1, 01
- September 1, 06, semi-annual coupon 15.0% APR). In case all bonds are in
circulation sum of the payment will be equal to KZT112.5 m.
September 4 Zhairemskiy OMPE OJSC (Karagada oblast) pays the third coupon
to holders of indexed on tenge devaluation level bonds of the first issue
(KZ2CKY04A484; KASE's official "A" listing category, JGOKb1; KZT10,000,
KZT2,300.0 m.; March 4, 02 - March 4, 06; semi-annual coupon 10.0% APR). In
case all bonds are in circulation sum of the payment will be equivalent of
USD755.1 th., at the current stock exchange's rate, which will be in effect on
payment date.
September 6 - planned date on which ARNA OJSC (Almaty) pays the second
coupon to holders of bonds of the first issue (KZ2CKY03A601; KASE's official
"A" listing category, ARNAb1; KZT10,000, KZT465.0 m.; September 6, 02 -
September 6, 05; semi-annual coupon 13.0% APR). In case all bonds are in
circulation sum of the payment will be equal to KZT30.2 m.
[2003-08-29]