BTA Bank (Kazakhstan) delays payment of 3rd coupon on its international bonds of eight issues
BTA Bank (Almaty) informed KASE by the official letter (KASE) that it delays payment of the third coupon on the following international bonds:
- XS0532988770, XS0532989588 (BTASe7; USD2,082,371,783, July 1, 10 - July 1, 18, semi-annual coupon, 10.75 % APR - till December 31, 12, further - 12.50 % APR, 30/360);
- XS0531656055, XS0531656139 (BTASe8; KZT32,604,173,503, July 1, 10 - July 1, 18, semi-annual coupon, 14.75 % APR - till December 31, 12, further - 16.50 % APT, 30/360);
- XS0532989828, XS0532990164 (BTASe9; USD384,848,130, July 1, 10 - July 1, 21, semi-annual coupon, 3.70 % APR - till June 30, 17, further - 3.30 % APR, 30/360);
- XS0532990248, XS0532990594 (BTASe10; EUR437,110,856, July 1, 10 - July 1, 21, semi-annual coupon, 3.14 % APR - till June 30, 17, further - 2,74 % APR, 30/360);
- XS0532990677, XS0532990750 (BTASe11; USD496,631,368, July 1, 10 - July 1, 25, semi-annual coupon 7.20 % APR, 30/360);
- XS0532990834, XS0532990917 (BTASe12; EUR28,237,359, July 1, 10 - July 1, 25, semi-annual coupon, 6.75 % APR, 30/360);
- XS0531657293, XS0531657707 (BTASe13; KZT7,396,248,930, July 1, 10 - July 1, 25, semi-annual coupon, 11.20 % APR, 30/360);
- XS0531657889, XS0531657962 (BTASe14; KZT1, KZT28,000,000,000, July 1, 10 - July 1, 30, semi-annual coupon, 8.00 % APR, 30/360).
According to the mentioned bonds issue prospectuses BTA Bank was to pay this interest on January 1, 2012.