International bonds XS1153772725, XS1154028200 (ASBNe14) of Alliance Bank included in KASE official list's Other Debt Securities category
26.01.15 12:22
/KASE, January 26, 15/ – Following a decision of Kazakhstan Stock Exchange
(KASE) Listing Commission of January 23, 2015, international bonds
XS1153772725, XS1154028200 (USD236.57 mln, December 15, 2014 –
December 15, 2024, fixed semi-annual coupon 11.75 % p.a., 30/360) of Alliance
Bank JSC (Almaty) were included in the Other Debt Securities category of KASE
official list.
The Listing Commission decision's effective date will be announced additionally
after the named issuer fulfills terms set in sub-item 2) of item 1 of article 18
of KASE internal document "Listing Rules".
Opening of KASE trading in these bonds will also be announced additionally.
The said bonds main paying agent is The Bank of New York Mellon (London).
The said bonds were assigned abbreviation (trade code) ASBNe14.
More detailed information on the said bond issue will be published on KASE
website after the Listing Commission's decision becomes effective.
[2015-01-26]