Bonds KZ2P0M12F696 (KZ2P00004179, KSYSb2) and KZ2P0M12F704 (KZ2P00004161, KSYSb3) of Kazakhstan Utility Systems included in KASE official list by category "commercial bonds" of main market as of December 14

14.12.17 13:01
/KASE, December 14, 2017/ – As announced earlier, following a decision of Kazakhstan Stock Exchange (KASE) Management Board of December 12, 2017 the following securities of Kazakhstan Utility Systems (Astana) were included in KASE official list by category "commercial bonds" of the main market: - bonds KZ2P0M12F696 (KZ2P00004179, KZT1,000, KZT20.0 bn; 12 months; annual coupon 13.50 % p.a.; 30/360); - indexed bonds KZ2P0M12F704 (KZ2P00004161, KZT1,000, KZT20.0 bn; 12 months; annual coupon 6.50 % p.a.; 30/360). The Listing Commission's effective date is December 14, 2017 since said issuer fulfilled the terms set in item 6 of chapter 1 of appendix 2.4 to KASE internal document "Listing Rules". Opening of trading in these bonds on KASE will be announced additionally. Eurasian Capital (Almaty) is the representative of holders of said bonds. Said bonds were assigned abbreviations (tickers) KSYSb2 and KSYSb3, respectively. More details of said bond issue will be released soon on KASE website http://www.kase.kz/en/emitters/show/ksys [2017-12-14]