ASFIb7 – Astana-Finance JSC KZPC1Y10B634 coupon bonds

The bonds were defaulted on interest payment for the ninth coupon period (from June 30 through December 30, 2009).
The bonds were defaulted on interest payment for the tenth coupon period (from December 30, 2009 through June 30, 2010).

These securities have been delisted from trading lists 10/11/10

Current coupon rate, % APR: –
Days to maturity: 1,221
Circulation period: 06/30/05 – 06/30/15
Date/Period Bid Offer Last W-aver High Low Trades Bonds m. KZT th. USD
02/09/12 0 0 0.00
02/08/12 0 0 0.00
From 06/30/05 19.2796 98.8591 111.8498 19.2796 245 199,068,000 20,154.6160,347.5

all 3 y. 1 y. 6 mon. 3 mon. 2 mon. 1 mon. 1 week From date   back:



Trades archive

Archive type: Period: from:
to:
Deals type: Price: Output to:

Characteristics:

Instrument
Trading codeASFIb7
System of quotationclean price
Unit of quotationnominal value percentage fraction
Quotation currencyKZT
Quotation accuracy4 characters
Trade lists admission date06/30/05
Trade opening datetrades unopened
Trade lists exclusion date10/11/10
Security
Bond's namesubordinate coupon bonds
NSINKZPC1Y10B634
Current coupon rate, % APR
Currency of issue and serviceKZT
Nominal value in issue's currency100
Number of registered bonds80,000,000
Issue volume, KZT8,000,000,000
Number of bonds outstanding3,111,167
Issue registration date06/24/05
Program's number in state registerB63
Program registration date06/24/05
Currency of program registrationKZT
Program's volume, KZT8,000,000,000
Coupon rate typeindexed by inflation
Minimal possible rate value, % APR2.000
Maximal possible rate value, % APR12.500
Fixed margin, % APR2.000
Settlement basis (days in month / days in year)30 / 360
Date of circulation start06/30/05
Circulation term, years10
Date of the previous coupon payment12/30/11
Number of days till nearest coupon payment142
Registry fixation date of the nearest coupon payment06/29/12
Period of the next coupon payment06/30/12 – 07/12/12
Coupon payment scheduleview schedule
Register fixation date at maturity06/29/15
Principal repayment period06/30/15 – 07/10/15
RegistrarJSC "Fondovyi Tsentr" (Almaty)


This issuer's securities are not listed on the exchange now



ASFIb7 bonds emitter information

Short nameAstana-Finance JSC
Contacts12, Begeldinov str., Astana, Republic of Kazakhstan, 010000
(7172) 59 10 62
Internethttp://www.af.kz/
E-mailaf@af.kz
Primary activityloan operations: granting of loans in monetary form;
other operations provided by banking legislation: lease of property with preservation of property rights of a leaser for the entire contract period (lease); factoring operations: acquisition of payment claims from the buyer of goods (works, services) by accepting default risks; other activities in accordance with the Charter and available licenses
Defaults

on preference shares ASFIp

on coupon bonds ASFIb5

on coupon bonds ASFIb24

on coupon bonds ASFIb23

on coupon bonds ASFIb22

on coupon bonds ASFIb21

on coupon bonds ASFIb18

on coupon bonds ASFIb17

on coupon bonds ASFIb16

on coupon bonds ASFIb15

on coupon bonds ASFIb13

on coupon bonds ASFIb12

on coupon bonds ASFIb11

on coupon bonds ASFIb10

on coupon bonds ASFIb9

on coupon bonds ASFIb4

on coupon bonds ASFIb7

on coupon bonds ASFIb6

on coupon bonds aASFIb20



Last 10 news about Astana-Finance JSC for last 4 months

Username:
Password:
Loading
Loading