Redemption of CCBNb29 Bonds and Cancellation of the Second Issue under the Third Bond Program (Decision dated 04.08.2025)
Dear investors!
Hereby, JSC "Bank CenterCredit" (hereinafter the Bank) informs that August 4, 2025 the Board of Directors of the Bank has approved the following decisions:
the 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 KZT 1 000,0 in the amount of 29 998 759 (twenty nine million nine hundred ninety eight thousand seven hundred fifty nine) bonds as the return of state funds at the initiative of the Bank;
cancellation of the second issue of unsecured coupon subordinated bonds convertible into common shares within the third bond program of the Bank in the amount of 60 000 000 (sixty million) bonds (Certificate of state registration of the issue of securities E99-2 dated October 9, 2017).
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