Hereby Bank CenterCredit JSC announces that, in accordance with the terms of the CCBNb28 bond issue (ISIN KZ2C00003424, market "Main", category "Bonds"), the bonds were redeemed on September 29, 2025, including the last 20th coupon payment.
The principal amount is 22 153 875 700,00 (twenty-two billion, one hundred fifty-three million, eight hundred seventy-five thousand, seven hundred) tenge 00 tiyn, the twentieth coupon payment is 1 107 693 785,00 (one billion, one hundred seven million, six hundred ninety-three thousand, seven hundred eighty-five) tenge 00 tiyn.