OREANDA-NEWS. As was announced earlier, a special trading session for offering of bonds KZP02Y10E531 (KZ2C00003291, KASE official list, "other debt securities" category, CAEPb2; KZT100, KZT5.0 bn; June 11, 2015 – June 11, 2025, fixed semi-annual coupon, 6.00 % APR, 30/360) of Central Asian Electric Energy Corporation JSC (Almaty) is held in KASE trading system today.

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Security type:                        coupon bonds                             
National identification number:       KZP02Y10E531                             
ISIN:                                 KZ2C00003291                             
KASE trade code:                      CAEPb2                                   
Nominal value, tenge:                 100.00                                   
Issue volume, mln tenge:                                                       
– registered:                         5,000.0                                  
– outstanding:                                                                 
First circulation date:               June 11, 2015                            
Last circulation date:                June 10, 2025                            
Maturity date:                        June 11, 2025                            
Circulation term:                     10 years (3,600 days)                    
Coupon rate:                          6.00 % p.a.                              
Coupon payment periodicity:           twice a year                             
Coupon payment date:                  December 11 and June                     
                                      11 annually                              
Time base:                            30/360                                   
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Trade date:                           June 15, 2015                            
Term to maturity:                     10.0 years (3,596 days)                  
Declared placement volume, mln tenge: 1,700.0                                  
Lot size, pieces:                     1                                        
Trade subject:                        "net" price                              
Types of purchase orders:             limited                                  
Market order acceptance ratio, %:     0                                        
Order submission method:              closed                                   
Order receipt time:                   11:30–15:00                              
Order confirmation time:              11:30–15:30                              
Striking time:                        16:30                                    
Payment date:                         June 15, 2015                            
Payment time:                         before 16:30 (Т+0)                       
Order acceptance method:              at prices of counter orders              
                                      equal to the cut-off price or            
                                      those being more favorable
for the seller
Trades initiator:                     Investment house                         
                                      "Astana-Invest" JSC (Almaty)             
Trading system sector:                Debts_List_ST1                           
Trading system group:                 Corp_ST1                                 
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As the price an order will indicate the bonds' "net" price (excluding interest accrued) expressed as percentage of the security's face value accurate within the fourth decimal.

The number of financial instruments in an order must be equal to the number of bonds in pieces. The number of financial instrument must be equal or a multiple of the lot size.

Settlements will be made by the Central Securities Depository JSC in compliance with its rules. The buyer of securities must ensure availability of money payable for securities bought at Central Securities Depository correspondent account by the time indicated in the table.