International notes to bearer of Development Bank of Kazakhstan JSC of the second tranche have passed listing at KASE under "А" category, trade are opened since November 14
14.11.03 00:00
/KASE, November 14, 02/ - By the decision of Kazakhstan stock exchange's
(KASE) Board dated November 13 of 2003 international notes to bearer of
Development Bank of Kazakhstan JSC (Astana) of the second tranche
(XS0179958805, $100 m., November 12, 03 - November 12, 13, semi-
annual coupon 7.375% APR), have been included into KASE's official list of
"А" category. This decision took effect since November 14 of 2003.
By the decision of KASE's Board the bonds have been assigned trade code
BRKZe2. Quotation accuracy in the trade system is four decimal figures.
Status of the market-maker of BRKZe2 at KASE has been assigned on the
basis of submitted application to Halyk Bank of Kazakhstan OJSC (Almaty).
Minimal volume of compulsory quotation for the market-maker is USD12,000
in debt's nominal expression.
Trades in the notes at KASE are opened since November 14 of 2003.
[2002-11-14]