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Bank Center Credit JSC announces the state registration on June 03, 2025 by the Agency of the Republic of Kazakhstan for Regulation and Development of the Financial Market of amendments and/or additions to the prospectus of the second bond issue within the framework of the third bond program of Bank Center Credit JSC (ISIN KZ2C00004083).
«Bank CenterCredit» JSC informs about the cancellation of the first and second bond programs of the Bank according to the certificates of cancellation of the first and second bond programs of the Bank issued by the Agency of the Republic of Kazakhstan for Regulation and Development of the Financial Market dated May 27, 2025.
Joint Stock Company "Bank CenterCredit" announces the cancellation of the seventh issue of unsecured coupon bonds within the second bond program of the Bank CCBNb27 (ISIN KZ2C00003317) in accordance with the certificate of cancellation of the issue of non-government bonds issued by the Agency of the Republic of Kazakhstan for Regulation and Development of the Financial Market dated May 21, 2025.
JSC Bank CenterCredit hereby informs about the decision of the sole holder of JSC Bank CenterCredit bonds (ISIN KZ2C00004083) dated May 15, 2025.
To make changes and/or additions to the prospectus of the second issue of bonds within the third bond program of JSC Bank CenterCredit (Certificate of state registration No. E99-2 dated October 9, 2017).
JSC Bank CenterCredit hereby announces the adoption of the following decision by the Board of Directors on 14.05.2025:
1. To cancel the seventh issue of unsecured coupon bonds within the second bond program of JSC Bank CenterCredit in the amount of 100,000,000 (One hundred million) pieces (Certificate of state registration of the issue of securities dated 02.06.2015 D21-7). (Appendix).
2. To cancel the bond program of JSC Bank CenterCredit with an issue volume of 50,000,000,000 (Fifty billion) tenge (Certificate of state registration of the issue of securities dated 06.07.2005 No. B65).
3. To cancel the second bond program of JSC Bank CenterCredit with an issue volume of 100,000,000,000 (One hundred billion) tenge (Certificate of state registration of the issue of securities dated September 18, 2008, No. D21).
Hereby Bank CenterCredit JSC informs that on May 12, 2025, the coupon interest on bonds CCBNb33 (ISIN KZ2C00007714) was paid.
The total amount of coupon interest paid was 304,750,000.00 (three hundred four million seven hundred fifty thousand) tenge 00 tiyn.
Hereby Bank CenterCredit JSC informs that on April 28, 2025 the coupon interest on ALBNb5 bonds (ISIN KZ2C00006062) was paid.
The total amount of coupon interest paid was 242,071,510.00 (two hundred forty-two million seventy-one thousand five hundred ten) tenge 00 tiyn.
Hereby, JSC "Bank CenterCredit" (hereinafter the Bank) informs that the Board of Directors of the Bank has approved a decision on the partial prior redemption of registered unsecured coupon subordinated bonds, convertible into ordinary shares (CCBNb29 - KASE, ISIN KZ2C00004083), previously issued within the Bank's participation in the Program for increasing the financial stability of the banking sector of the Republic of Kazakhstan, at the nominal value of 1,000.0 (one thousand) tenge in the amount:
1) 3 499 241 (three million four hundred ninety nine thousand two hundred forty one) bonds as the prior return of state funds in accordance with the "Conditions for the distribution of profits, the accrual of dividends on common and (or) preferred shares and (or) perpetual financial instruments, as well as the conduct of a buyback of own shares by a second-tier bank, for the purpose of ensuring the financial stability and (or) recovery of which funds from the state budget, the National Fund of the Republic of Kazakhstan, the National Bank of the Republic of Kazakhstan and (or) its subsidiaries are used", approved by the Resolution of the Management Board of the Agency of the Republic of Kazakhstan on regulation and development of the financial market dated 27 April 2023. No. 21;
2) 6 500 759 (six million five hundred thousand seven hundred fifty nine) bonds as the return of state funds at the initiative of the Bank.
Hereby Bank CenterCredit JSC informs that on March 31, 2025 the coupon interest on bonds CCBNb28 (ISIN KZ2C00003424) was paid.
The total amount of coupon interest paid was 1 107 693 785.00 (one billion one hundred seven million six hundred ninety-three thousand seven hundred eighty-five) tenge 00 tiyn.
Hereby “Bank CenterCredit” JSC informs about the state registration of the RSI “Agency of the Republic of Kazakhstan for Regulation and Development of the Financial Market” of the issue of bonds with a circulation period of no more than 12 (twelve) months with a nominal volume of 50,000,000 (fifty million) US dollars dated February 14, 2025.
Hereby Bank CenterCredit JSC informs that it has taken into account the notification of Central Securities Depository JSC (No. 15-08/1510 dated February 12, 2025) on the redemption of unsecured discount bonds CCBNb36 (ISIN KZ2C00011732) in the accounting system of the Central Depository.
Joint Stock Company "Bank CenterCredit" reports that in accordance with the terms of the bond issue CCBNb36 (ISIN KZ2C00011732, "Main" platform, category "Commercial bonds"), on February 11, 2025, the debt was fully repaid at par value.
The total amount of debt was 31,890,000.00 (Thirty one million eight hundred ninety thousand) USD 00 cents.
Hereby Bank CenterCredit JSC announced that on December 27, 2024, the coupon interest on its bonds, CCBNb32 (ISIN KZ2C00004554). The total amount of coupon interest paid was 2 831 173 943,10 (two billion eight hundred thirty-one million one hundred seventy-three thousand nine hundred forty-three) tenge 10 tiyn.
Dear investors!
Hereby, JSC "Bank CenterCredit" (hereinafter the Bank) informs that the Board of Directors of the Bank has approved a decision on the partial prior redemption of registered unsecured coupon subordinated bonds, convertible into ordinary shares (CCBNb29 - KASE, ISIN KZ2C00004083), previously issued within the Bank's participation in the Program for increasing the financial stability of the banking sector of the Republic of Kazakhstan, at the nominal value of 1,000.0 (one thousand) tenge in the amount:
1) 1 241 (one thousand two hundred and forty one) bonds as the prior return of state funds in accordance with the "Conditions for the distribution of profits, the accrual of dividends on common and (or) preferred shares and (or) perpetual financial instruments, as well as the conduct of a buyback of own shares by a second-tier bank, for the purpose of ensuring the financial stability and (or) recovery of which funds from the state budget, the National Fund of the Republic of Kazakhstan, the National Bank of the Republic of Kazakhstan and (or) its subsidiaries are used", approved by the Resolution of the Management Board of the Agency of the Republic of Kazakhstan on regulation and development of the financial market dated 27 April 2023. No. 21;
2) 20,000,000.0 (twenty million) bonds.
Hereby, JSC Bank CenterCredit JSC informs that it has taken into account the notification of Central Securities Depository (No. 15-08/12099 dated 05.12.2024) on the redemption in the accounting system of the Central Depository of the third bond issue within the second bond program of JSC Bank CenterCredit (ISIN KZ2C00000594).
Bank CenterCredit JSC announced that on December 04, 2024 it made full redemption and payment of the thirtieth coupon on its CCBNb23 bonds (ISIN KZ2C00000594).
The total amount of the principal debt amounted to 7 335 933 000,00 (seven billion three hundred thirty-five million nine hundred thirty-three thousand) tenge 00 tiyn, as well as the paid coupon in the amount of 403 476 315,00 (four hundred three million four hundred seventy six thousand three hundred fifteen) tenge 00 tiyn.
Hereby Bank CenterCredit JSC informs that on November 13, 2024, the coupon interest on bonds CCBNb33 (ISIN KZ2C00007714) was paid.
The total amount of coupon interest paid was 304,750,000.00 (three hundred four million seven hundred fifty thousand) tenge 00 tiyn.
Hereby “Bank CenterCredit” JSC informs about the state registration of the RSI “Agency of the Republic of Kazakhstan for Regulation and Development of the Financial Market” of the issue of bonds subject to private placement in the amount of 100,000,000,000 (Оne hundred billion) tenge dated October 28, 2024.
Hereby Bank CenterCredit JSC informs that on October 29, 2024 the coupon interest on bonds ALBNb5 (ISIN KZ2C00006062) was paid.
The total amount of coupon interest paid was 242,071,510.00 (two hundred forty-two million seventy-one thousand five hundred ten) tenge 00 tiyn.
JSC Bank CenterCredit hereby announces the adoption of the following decision by the Board of Directors on 22.10.2024:
- To approve an increase in the liabilities of Bank CenterCredit JSC in the amount of KZT100,000,000,000 (One hundred billion) Kazakh tenge by issuing non-government bonds subject to private placement of Bank CenterCredit JSC.
- To approve the conditions for the issue of non-government bonds subject to private placement by Bank CenterCredit JSC.
- To approve the placement of non-government bonds subject to private placement among a limited number of investors.
- To allow the Management Board to determine the yield at the primary auction when placing non-government bonds.