Tsesna Capital as of July 4, 2016 assigned status of market-maker on KASE for Bank CenterCredit four bond issues
29.06.16 15:36
/KASE, June 29, 2016/ – Following a decision of Kazakhstan Stock Exchange
(KASE) Management Board, Tsesna Capital (Astana) based on its application
was assigned a market-maker status on KASE as of July 4, 2016 for the following
securities of Bank CenterCredit (Almaty):
- bonds KZPC7Y10B656 (KZ000A0T88K4, KASE official list, category "other
debt securities", CCBNb14);
- bonds KZP12Y10B650 (KZ2C00000552, KASE official list, category "other
debt securities", CCBNb19);
- bonds KZP13Y15B657 (KZ2C00000560, KASE official list, category "other
debt securities", CCBNb20);
- international bonds XS0245586903 (KASE official list, category "other debt
securities", CCBNe3);
[2016-06-29]