RESMI Finance & Investment House assigned status of market-maker on KASE for bonds KZP01Y10E830 (KZ2C00003010, CSBNb15), KZP02Y09E830 (KZ2C00003028, CSBNb16) and KZP03Y08E830 (KZ2C00003036, CSBNb17) of Kaspi Bank
28.01.15 15:41
/KASE, January 28, 15/ – Following a decision of Kazakhstan Stock Exchange
(KASE) Management Board RESMI Finance & Investment House JSC (Almaty) of
January 28, 2015 based on its application was assigned the status of a
market-maker on KASE for the following bonds of Kaspi Bank JSC (Almaty):
- KZP01Y10E830 (KZ2C00003010, category "other debt securities", CSBNb15);
- KZP02Y09E830 (KZ2C00003028, category "other debt securities", CSBNb16);
- KZP03Y08E830 (KZ2C00003036, category "other debt securities", CSBNb17).
The market-maker is obliged to commence his duties as of the date of opening
of trades in the mentioned bonds.
[2015-01-28]