OREANDA-NEWS. September 23, 2010. Halyk Savings Bank of Kazakhstan (Almaty, hereinafter - the bank), securities of which are listed on Kazakhstan Stock Exchange (KASE), provided to KASE the copies of certificates of the bank's eleven bond issue prospectuses government registration of August 31, 2010, replacing the previous ones, and copies of amendments to issue prospectuses of the following bank bonds issue prospectuses, reported the press-centre of KASE.

- KZPC4Y10B190 (KASE official list, first sub-category of category "Non-rated debt securities", HSBKb7; KZT1, KZT4.0 bn., December 31, 2004 - December 31, 2014; semi-annual coupon 7.50 % APR; 30/360);

- KZPC5Y10B197 (KASE official list, first sub-category of category "Non-rated debt securities", HSBKb8; KZT10,000, KZT4.0 bn., April 11, 2005 - April 11, 2015; inflation rate -indexed semi-annual coupon, 8.30 % APR for the reporting coupon period; 30/360);                                                         

- KZPC6Y10B195 (KASE official list, first sub-category of category "Non-rated debt securities", HSBKb9; KZT10,000, KZT3.0 bn., July 6, 2005 - July 6, 2015; semi-annual coupon, 7.50 % APR; 30/360);

- KZPC7Y10B193 (KASE official list, first sub-category of category "Non-rated debt securities", HSBKb10; KZT10,000, KZT5.0 bn., November 2, 2005 - November 2, 2015; inflation rate-indexed semi-annual coupon, 7.90 % APR for the reporting coupon period; 30/360);

- KZPC3Y10C018 (KASE official list, first sub-category of category "Non-rated debt securities", HSBKb11; KZT10,000, KZT4.0 bn., April 20, 2006 - April 20, 2016; inflation rate-indexed semi-annual coupon, 7.80 % APR for the reporting coupon period; 30/360);

- KZPC1Y10C590 (KASE official list, first sub-category of category "Non-rated debt securities", HSBKb12; KZT10,000, KZT10.0 bn., October 9, 2007 - October 9, 2017; inflation rate-indexed semi-annual coupon, 9.20 % APR for the reporting coupon period; 30/360);

- KZP02Y10C592 (KASE official list, first sub-category of category "Non-rated debt securities", HSBKb13; KZT10,000, KZT5.0 bn., November 6, 2008 - November 6, 2018; semi-annual coupon 13.00 %; 30/360);

- KZP03Y10C590 (KASE official list, first sub-category of category "Non-rated debt securities", HSBKb14; KZT10,000, KZT5.0 bn., November 6, 2008 - November 6, 2010; semi-annual coupon 13.00 % APR; 30/360);

- KZP04Y03C593 (KASE official list, first sub-category of category "Non-rated debt securities", HSBKb15, KZT19,500, KZT8,775.0 m; March 5, 2009 - March 5, 2012, annual coupon 12.683 % APR; 30/360);

- KZP05Y03C590 (KASE official list, first sub-category of category "Non-rated debt securities", HSBKb16, KZT15,000, KZT9.0 bn., March 5, 2009 – March  5, 2012, annual coupon 12.683 % APR; 30/360);

- KZP06Y10C593 (KASE official list, first sub-category of category "Non-rated debt securities", HSBKb17; KZT10,000, KZT15.0 bn.; July 29, 2009 - July 29, 2019, semi-annual coupon 8.00 % APR; 30/360).

According to mentioned documents:

- the Agency of the Republic of Kazakhstan on Regulation and Supervision of Financial Market and Financial Organizations (FSA) registered changes to bonds issue prospectuses;

- the certificates were replaced due to the bank legal address change;

Amendments to shares issue prospectus are available on KASE website at http://www.kase.kz/en/emitters/show/hsbk