Development Bank of Kazakhstan announces redemption of bonds
KZ2C00005916 (BRKZb16)
17.07.24 14:04
/KASE, July 17, 2024/ – Development Bank of Kazakhstan JSC (Astana) has
informed KASE about the redemption on July 16, 2024 of its bonds
KZ2C00005916 (BRKZb16), within which the final – the 10th coupon interest was
paid on the specified bonds.
According to the said message, the total amount of payments on these bonds
amounted to 43,105,350,000.00 tenge, including the principal debt (total par
value of the bonds) – 41,000,000,000.00 tenge, the 10th coupon interest –
2,105,350,000.00 tenge.
[2024-07-17]