Bank CenterCredit intends to fully redeem international bonds XS0245586903 (CCBNe3)

01.02.23 12:36
/KASE, February 1, 2023/ – Bank CenterCredit JSC (Almaty), whose securities are officially listed on Kazakhstan Stock Exchange (KASE), has provided KASE with the following notice dated January 31, 2023: quote Full redemption notice to holders of $100,000,000 perpetual non-cumulative bonds ISIN: XS0245586903, KASE – CCBNe3, General code: 024558690 (the "Bonds") ... You are hereby notified that pursuant to Article 5.1 "Additional Redemption by the Borrower" of the Prospectus of the Bonds and Article 5(a) "Additional Redemption by the Issuer" of the Trust Deed, the Issuer has decided to redeem the said Bonds in full, at par value together with interest, on the upcoming Interest Payment Date – March 3, 2023. unquote The full version of the notice is available at – https://kase.kz/files/emitters/CCBN/ccbn_reliz_310123.pdf [2023-02-01]