Kaspi Bank announces redemption of bonds KZ2C00003036 (CSBNb17)

03.02.23 15:09
/KASE, February 3, 2023/ – Kaspi Bank JSC (Almaty) has informed Kazakhstan Stock Exchange (KASE) about the redemption on February 2, 2023 of its bonds KZ2C00003036 (CSBNb17), within which the final – the 16th coupon interest – was paid on the said bonds. According to the message, the total amount of payments on said bonds amounted to KZT41,261,081,466.15, including principal debt (total face value of bonds) – KZT39,352,485,900.00, the 16th coupon interest – KZT1,908,595,566.15. [2023-02-03]