Bank CenterCredit bonds KZP02Y15E993 (KZ2C00004083, CCBNb29) convertible into ordinary shares included in KASE official list by category "bonds" of main market as of October 16

16.10.17 14:41
/KASE, October 16, 2017/ – As announced earlier, following a decision of Kazakhstan Stock Exchange (KASE) Listing Commission of October 13, 2017, subordinated bonds KZP02Y15E993 (KZ2C00004083; KZT1,000, KZT60.0 bn; 15 years; annual coupon 4.00 % APR, in the first year of circulation the coupon is paid for 30 and 330 days; 30/360) of Bank CenterCredit (Almaty), convertible into ordinary shares, were included in KASE official list's main market's "bonds" category. The Listing Commission decision is effective as of October 16, 2017 as the issuer fulfilled the terms set in item 1 of chapter 5 of appendix 2.2 of KASE internal document "Listing Rules". Opening of trading in these bonds on KASE will be announced additionally. Centras Securities (Almaty) is the bondholders' representative. Said bonds were assigned an abbreviation (ticker) CCBNb29. More details of said bond issue will be released soon on KASE website – http://www.kase.kz/en/emitters/show/ccbn [2017-10-16]