KEGOC reports payment of interest on KZP01Y15F281 bonds


Hereby KEGOC would like to inform the concerned parties that payment of interest on the third coupon period on bonds of the first issue of the first bond programme of KEGOC (NIN KZP01Y15F281, ISIN KZ2C00003572, KASE main trading platform, "bonds" category, KEGCb1) was completed on 4 June 2019. The total amount of the coupon paid was KZT 4,512,500,000.00 (four billion five hundred twelve million five hundred thousand tenge 00 tiyn), the coupon yield was 9.5% (nine point five per cent) per annum.