JSC 'Nurbank' (hereinafter referred to as the Bank) hereby reports the approval by the National Bank of the Republic of Kazakhstan of the report on the results of bond placement.
1. Name of the state body that carried out the state registration of the issue of securities, date of state registration of the issue of securities — not applicable;
2. Type, quantity of securities announced for issue, national identification number assigned to the securities — not applicable;
3. In case of bond issuance, the nominal value, term of circulation, and redemption procedure, procedure and terms of income payment on them, covenants and/or other restrictions specified in the prospectus of their issue — not applicable;
4. Increase in the quantity of announced securities: date of state registration of amendments to the prospectus of the issue of securities regarding the increase in the quantity of announced securities, date of the decision to increase the quantity of announced securities and the body of the joint-stock company that made this decision, the quantity of announced securities after state registration of corresponding amendments to the prospectus of the issue of securities by types — not applicable;
5. Date of the decision on the placement of securities — not applicable;
6. Start date of securities placement, terms of securities placement with indication of the quantity of securities offered for placement and method of placement — not applicable;
7. End date of securities placement (with indication of the reporting period of placement), securities redemption date — placement period: from July 27, 2014, to January 26, 2015;
8. Date of approval of the report on the results of the securities placement, report on the results of redemption with indication of the quantity and type of securities placed (redeemed) in the reporting period — approved by the National Bank of the Republic of Kazakhstan on 23.04.2015, bonds were not placed during the reporting period;
9. Quantity and type of securities purchased by the joint-stock company from their holders during the reporting period — 19,000 units;
10. Information on dividend payments on shares, income on bonds in the reporting period — coupon remuneration was paid on February 2, 2015, in the amount of 553,826,000.00 tenge;
11. Date of cancellation of the issue of securities with an indication of the basis for cancellation — not applicable.