Kaspi Bank announces redemption of bonds KZ2C00003028 (CSBNb16)
09.02.24 16:43
/KASE, February 9, 2024/ – Kaspi Bank JSC (Almaty) has informed Kazakhstan
Stock Exchange (KASE) about the redemption on February 9, 2024 of its bonds
KZ2C00003028 (CSBNb16), within which the final – the 18th – coupon interest
was paid on the said bonds.
According to the message, the total amount of payments on said bonds
amounted to KZT48,768,686,605.00, including principal debt (total face value of
bonds) – KZT46,490,645,000.00, the 18th coupon interest –
KZT2,278,041,605.00.
[2024-02-09]