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Payment and redemption of registered bonds of the second issue / 21.08.2017

CJSC «Kyrgyz Investment and Credit Bank»

announces significant facts:

 

1.      On payment of interest income and redemption of registered interest-bearing bonds of the second issue (KG0202166912)

• The reason for redemption - the maturity date of the bonds on September 23, 2017;

• Type, category and form of securities - negotiable, registered interest-bearing, dematerialized, unsecured bonds;

• State registration number of the issue - KG0202166912

• The nominal value - 1 000 soms;

• The total number of issued bonds is 150,000 copies.

• The amount of income per bond - 14% per annum. The form of payment is cash.

 

The bonds will be redeemed in cash at their nominal value (1,000 som). The list of bondholders entitled to receive interest income for the last interest period and redemption of bonds is determined as of September 19, 2017. Payment of interest and redemption of bonds will be carried out from September 25, 2017 at the Head Office of KICB at: Bishkek, Erkindik Blvd. 21. You can get additional information by phone: 62-01-01; www.kicb.net

2.      On payment of interest income and redemption of registered interest-bearing bonds of the third issue (KG0203166911)

• The reason for redemption - the maturity date of the bonds on September 10, 2017;

• Type, category and form of securities - negotiable, registered interest-bearing, dematerialized, unsecured bonds;

• State registration number of the issue - KG0203166911

• The nominal value - 1 000 soms;

• The total number of issued bonds is 200,000 copies.

• The amount of income per bond - 14% per annum. The form of payment is cash.

 

The bonds will be redeemed in cash at their nominal value (1,000 som). The list of bondholders entitled to receive interest income for the last interest period and redemption of bonds is determined as of September 05, 2017. Payment of interest and redemption of bonds will be carried out from September 11, 2017 at the Head Office of KICB at: Bishkek, Erkindik Blvd. 21. You can get additional information by phone: 62-01-01; www.kicb.net

3.      On payment of interest income on registered interest-bearing bonds of the forth issue (KG0204166910)

• Date of accrual of interest income - September 16, 2017.

• The amount of income per Bond – 14% p.a.

• The face value of Bond – 1 000 KGS

Payment of interest income will start 18 September 2017. List of bondholders who have right to receive the interest income will be determined on the date September 12, 2017. Form of payment - cash. Payment of interest will be at KICB head office:  21 Erkindik blvd., Bishkek. Additional information on tel.: 62-01-01; www.kicb.net

The State Service for regulation and supervision of the financial market under the Government of the KR registered second Issue of Bonds at September 15, 2014 (KG 0202166912). Third Issue of KICB Bonds was registered by SSRSFM at August 28, 2015 (KG 0203166911). Fourth Issue of Bonds was registered by SSRSFM at September 16, 2016 (KG 0204166910).

NBKRLicense¹ 046

 

18.08.2017

System upgrade