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For investors
2 December 2025
Updated: 2 December 2025

Full Redemption of CCBNb37 Bonds at Par Value

Joint Stock Company "Bank CenterCredit" reports that in accordance with the terms of the bond issue CCBNb37 (ISIN KZ2C00013472, "Main" platform, category "Commercial bonds"), on December 02, 2025, the debt was fully repaid at par value. The total amount of debt was 32,550,000.00 (thirty-two million five hundred fifty thousand) USD 00 cents.

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