Bank CenterCredit redeemed bonds KZ2C00003424 (CCBNb28)

30.09.25 10:10
/KASE, September 30, 2025/ – Bank CenterCredit JSC (KASE ticker – CCBN) on September 29, 2025 repaid bonds KZ2C00003424 (CCBNb28) and paid the final – 20th coupon interest on the bonds. The payment amounted to KZT 23,261,569,485.00 tenge, including the principal debt – KZT 22,153,875,700.00, 20th coupon interest – KZT 1,107,693,785.00. [2025-09-30]