Starting from September 26, 2007 trades with new instrument on CS automatic repo market of KASE to be opened

26.09.07 21:01
/KASE, September 26, 07/ - By the decision of the Board of Kazakhstan stock exchange (KASE) based on the application submitted by a member of KASE starting from September 25, 2007 the trades with new instruments on the CS automatic repo market of KASE will be opened on the security of: - KZ2CKY10В158 bonds (KASE's official "A" listing category, BTASb4) of Bank TuranAlem JSC (Almaty) with repo operation terms of one-, seven-, 14-, and 28 days; - KZPC2Y05B335 bonds (KASE's official "A" listing category, BTAIb4) of the Daughter mortgage organization of joint stock company Bank TuranAlem, BTA Ipoteka JSC (Almaty) with repo operation terms of one-, seven-, 14-, and 28 days; - KZPC2Y08B644 bonds (KASE's official "A" listing category, BTAIb8) of the Daughter mortgage organization of joint stock company Bank TuranAlem, BTA Ipoteka JSC (Almaty) with repo operation terms of one-, seven-, 14-, and 28 days; - KZ2CKY10A853 bonds (KASE's official "A" listing category, KZIKb2) of Kazakhstan Mortgage Company JSC (Almaty) with repo operation terms of one-, seven-, 14-, and 28 days; - KZ2CKY10A986 bonds (KASE's official "A" listing category, KZIKb3) of Kazakhstan Mortgage Company JSC (Almaty) with repo operation terms of one-, seven-, 14-, and 28 days; - KZ2CKY07B220 bonds (KASE's official "A" listing category, KZIKb6) of Kazakhstan Mortgage Company JSC (Almaty) with repo operation terms of one-, seven-, 14-, and 28 days; - KZ2CKY07B303 bonds (KASE's official "A" listing category, KZIKb7) of Kazakhstan Mortgage Company JSC (Almaty) with repo operation terms of one-, seven-, 14-, and 28 days; - KZPC2Y05B145 bonds (KASE's official "A" listing category, KZIKb10) of Kazakhstan Mortgage Company JSC (Almaty) with repo operation terms of one-, seven-, 14-, and 28 days; - KZ2CKY10B695 bonds (KASE's official "A" listing category, KKGBb5) of Kazkommertsbank JSC (Almaty) with repo operation terms of one-, seven-, 14-, and 28 days; - KZPC6Y10B195 bonds (KASE's official "A" listing category, HSBKb9) of Halyk Savings bank of Kazakhstan JSC (Almaty) with repo operation terms of one-, seven-, 14-, and 28 days. [2007-09-26]