AS OF SEPTEMBER 17 LISTED EUROBONDS OF 20 TITLES WILL BE TRADED ON KASE WITH SETTLEMENTS IN US DOLLARS ACCORDING TO Т+2 SCHEME

17.09.18 10:47
/KASE, September 17, 2018/ – As announced earlier, as of September 17, 2018 Kazakhstan Stock Exchange (KASE) opens trading in listed Eurobonds denominated in US dollars, with settlements in the currency of denomination. Below is the list of financial instruments subject to inclusion in the List of financial instruments of the stock market, deals in which are cleared by the Exchange: ------------------------------------------------------------------------------------ No. Security Issuer Rate of initial Rate of price ticker margin, in % change limit, in % ------------------------------------------------------------------------------------ 1 KZ_05_2410 Kazakhstan's Ministry of Finance 16% 8% --- ---------- --------------------------------------- --------------- ------------- 2 KZ_06_4410 Kazakhstan's Ministry of Finance 20% 10% --- ---------- --------------------------------------- --------------- ------------- 3 KZTGe1 KazTransGaz 20% 10% --- ---------- --------------------------------------- --------------- ------------- 4 BRKZe3 Development Bank of Kazakhstan 16% 8% --- ---------- --------------------------------------- --------------- ------------- 5 BRKZe4 Development Bank of Kazakhstan 26% 13% --- ---------- --------------------------------------- --------------- ------------- 6 BRKZe7 Development Bank of Kazakhstan 20% 10% --- ---------- --------------------------------------- --------------- ------------- 7 HSBKe5 Halyk Savings Bank of Kazakhstan 16% 8% --- ---------- --------------------------------------- --------------- ------------- 8 KMGZe10 National Company KazMunayGaz 20% 10% --- ---------- --------------------------------------- --------------- ------------- 9 KMGZe11 National Company KazMunayGaz 26% 13% --- ---------- --------------------------------------- --------------- ------------- 10 KMGZe12 National Company KazMunayGaz 26% 13% --- ---------- --------------------------------------- --------------- ------------- 11 KMGZe6 National Company KazMunayGaz 20% 10% --- ---------- --------------------------------------- --------------- ------------- 12 KMGZe9 National Company KazMunayGaz 26% 13% --- ---------- --------------------------------------- --------------- ------------- 13 TMJLe1 National Company Kazakhstan Temir Zholy 26% 13% --- ---------- --------------------------------------- --------------- ------------- 14 TMJLe6 National Company Kazakhstan Temir Zholy 26% 13% --- ---------- --------------------------------------- --------------- ------------- 15 ECTRe1 Eastcomtrans 36% 18% --- ---------- --------------------------------------- --------------- ------------- 16 CCBNe3 Bank CenterCredit 40% 20% --- ---------- --------------------------------------- --------------- ------------- 17 KMGZe13 National Company KazMunayGaz 20% 10% --- ---------- --------------------------------------- --------------- ------------- 18 KMGZe14 National Company KazMunayGaz 26% 13% --- ---------- --------------------------------------- --------------- ------------- 19 KMGZe15 National Company KazMunayGaz 26% 13% --- ---------- --------------------------------------- --------------- ------------- 20 KZAGe1 National Managing Holding KazAgro 16% 8% ------------------------------------------------------------------------------------ KASE draws your attention to the fact that in accordance with its internal document "Instruction on Procedure of Coding of Members of Kazakhstan Stock Exchange, Financial Instruments and Securities Issuers", the tickers of Eurobonds deals in which are settled in US dollars, are supplemented by symbols "_USD". The trading in said Eurobonds according to scheme Т+0 with settlements in Kazakhstan tenge will be continued on KASE in the usual mode. [2018-09-17]