Schedule of events on corporate debt market of Kazakhstan from October 10 till October 16 of 2005

07.10.05 22:04
/IRBIS, Yelena Korpusenko, October 7, 05/ - In the period from October 10 till October 16 of 2005 on the stock market of Kazakhstan corporate debt the following events are planned. October 10 - Development Bank of Kazakhstan (Astana) will pay the sixth coupon to holders of its XS0155792186 issue euronotes to bearer (KASE's official "A" listing category, BRKZe1; $100.0 m.; October 10, 02 - October 10, 07, semiannual coupon 7.125% APR). If all euronotes are in circulation total amount of the payment will be USD3,562.5 th. October 10 - register of holders of KZ2CKY03A676 issue mortgage bonds of Kazakhstan Mortgage Company JSC (Almaty) (KASE's official "A" listing category, KZIKb1; KZT10,000, KZT1,500.0 m.; November 10, 02 - November 10, 05, semiannual coupon indexed on inflation rate, 12.05% APR for the current period) is fixed. Register is fixed for payment of nominal value and the sixth coupon payment. Since October 10 till November 10 of 2005 bonds will be quoted at Kazakhstan stock exchange (KASE) without accumulated interest. October 10 - register of holders of KZPC5Y10B197 issue subordinate bonds of Halyk savings bank of Kazakhstan JSC (Almaty) (KASE's official "A" listing category, HSBKb8; KZT10,000, KZT4,000.0 m.; April 11, 05 - April 11, 15, semiannual coupon indexed on inflation rate, 7.50% APR for the current period) is fixed. Register is fixed for the first coupon payment. On October 10 and 11 of 2005 bonds will be quoted at (KASE) without accumulated interest. October 11 - 14 period for the first coupon payment to holders of KZPC5Y10B197 issue bonds of Halyk savings bank of Kazakhstan JSC. If all bonds are in circulation total amount of the payment will be KZT150.0 m. October 12 - register of holders of KZ2CKY03B047 issue bonds of Mangistau distributing electricity network JSC (Aktau) (KASE's official "A" listing category, MREKb1; KZT1, KZT560.9 m.; April 13, 04 - April 14, 07, semiannual coupon indexed on tenge devaluation 13.00% APR) is fixed. Register is fixed for the third coupon payment. On October 12 and 13 of 2005 bonds will be quoted at (KASE) without accumulated interest. October 13 Mangistau distributing electricity network JSC will pay the third coupon to holders of its KZ2CKY03B047 issue bonds. . If all bonds are in circulation total amount of the payment will be KZT36.5 m. (income of holders is protected from tenge strengthening). October 13 - register of holders of KZ2CKY05A739 issue bonds of Kazpost JSC (Almaty) (KASE's official "A" listing category, KZPSb1; KZT1,000, KZT1,413.0 m.; May 13, 03 - May 14, 08, semiannual coupon indexed on tenge devaluation, 8.00% APR) is fixed. Register is fixed for the fifth coupon payment. Since October 13 till November 11 of 2005 bonds will be quoted at (KASE) without accumulated interest. October 13 - register of holders of KZ2CKY03B054 issue bonds of ROSA JSC (Pavlodar) (KASE's official "A" listing category, ROSAb1; KZT1,000, KZT1,000.0 m.; April 14, 04 - April 14, 07, semiannual coupon indexed on tenge devaluation, 11.00% APR) is fixed. Register is fixed for the third coupon payment. On October 13 and 14 of 2005 bonds will be quoted at (KASE) without accumulated interest. October 14 ROSA JSC will pay the third coupon to holders of its KZ2CKY03B054 issue bonds. If all bonds are in circulation total amount of the payment will be KZT55.0 m. (income of holders is protected from tenge strengthening). October 16 - settlement date when Kazkommerts International B.V. (Rotterdam, Netherlands) will pay the fifth coupon to holders of its XS0167149094 issue euronotes (KASE's official "A" listing category, KKGBe4; $500; April 16, 03 - April 16, 13, semiannual coupon 8.50% APR), issued under full guarantee of Kazkommertsbank JSC (Almaty). If all euronotes are in circulation sum of the payment will be USD21.3 m. [2005-10-07]