19 February 2015, 17:00
"KazAgro" National management holding" JSC announces that on February 26, 2015 specialized trades will be held on placement of coupon bonds of "KazAgro" National management holding" JSC (KZAGb2, KZP01Y10E814 (KZ2C00002988) 30,0 billion tenge, fixed semi-annual coupon of 8.00% per annum) in the trading system of "Kazakhstan Stock Exchange " JSC.
The terms of the bond placement can be found by the following link:
"KazAgro" National management holding" JSC
Director of the Treasury Operations Department - Kudaibergenov Alibek Kusherbayevich
Phone: +7 (717) 2705 641
Fax: +7 (717) 70-56-89 int. 1506
Underwriter of the placement of the bond issue is "Centras Securities" JSC.
Director of the Corporate Finance Department - Olga Filatova
Phone: +7 (727) 259 88 77 (int.732),
Leading Specialist of Corporate Finance Department - Yermekova Aliya
Phone: +7 (727) 259 88 77 (int.717).
We will be glad to answer all your questions.
JSC "National Holding" KazAgro "(hereinafter - Holding) in accordance with the Rules of accommodation on the internet resource depository financial statements, stock exchange information on corporate events, financial statements and audit reports number 72 on February 24, 2012 states:
1) the date of the decision to change the composition of the body of the issuer and the name of the issuer's authority that made the decision - the decision meeting of the Board of Directors of JSC "National Holding" KazAgro »№ 4 of 24 June 2015;
2) the name of the issuer, whose composition changed - Executive Body - the Management Board;
3) The essence of the changes in the body: the first name and if available - patronymic of the person excluded from the authority, name and if available - patronymic of the person elected (appointed) in the body - to elect Hodzhanazarova Aidarbek Asanovich Deputy Chairman of the Board of "National Holding" KazAgro ".
National managing holding KazAgro JSC pays coupon on bonds KZP01Y10E814(KZ2C00002988, KZAGb2)
Kazakhstan (Astana) has informed Kazakhstan Stock Exchange (KASE) of payment on July 14, 2015 of the coupon interest on its bonds KZP01Y10E814 (KZ2C00002988, KASE official list debt securities of entities from the quasi-public sector category, KZAGb2).
According to the said message, the interest was paid to the amount of KZT802280000.