International bonds XS1132166031, US48667QAH83 (KMGZe8) and XS1134544151, US48667QAK13 (KMGZe9) of National company KazMunayGaz included in KASE official list's Rated Debt Securities category as of November 7

07.11.14 16:16
/KASE, November 7, 14/ – As was announced earlier, following a decision of Kazakhstan Stock Exchange (KASE) Listing Commission decision of October 17, 2014, consent was given to include in KASE official list's Rated Debt Securities category the following international bonds of National company "KazMunayGaz" JSC (Astana): - XS1132166031, US48667QAH83 (USD500.0 mln, November 7, 2014 – May 7, 2025, semi-annual coupon 4.875% APR; 30/360); - XS1134544151, US48667QAK13 (KZT1.0 bn, November 7, 2014 – November 7, 2044, semi-annual coupon 6.0% APR; 30/360). This Listing Commission's decision became effective from November 7, 2014 as the issuer fulfilled terms of sub-item 2) of item 1 and item 2 of article 18 of KASE internal document "Listing Rules". Opening of KASE-based trades in the mentioned bonds will be announced additionally. The payment agent for the said bonds is Citibank N.A., London (London), registrar – Citigroup Global Markets Deutschland AG (Frankfurt). The mentioned bonds have been assigned the abbreviations (tickers) KMGZe8 and KMGZe9 accordingly. The detailed information on the mentioned bond issue will be published on KASE website in the nearest time at http://www.kase.kz/en/emitters/show/kmgz [2014-11-07]