Since February 24, 2006 trades in new instrument are opened in KASE's automate repo market with CS

24.02.06 22:56
/KASE, February 24, 06/ - By the decision of Kazakhstan stock exchange's (KASE) Board on the basis of application submitted by KASE member since February 24, 2006 trades with new instrument are opened in automate repo market under security of the following securities: - KZ2CKY07В352 issue subordinate bonds of TEXAKABANK JSC (Almaty) (KASE's official "A" listing category, TXBNb3; KZT1, 3,000.0 млн; November 1, 04 - November 1,11, semiannual coupon indexed by the level of inflation, 9.90% APR for the current period); - KZ2CKY10A853 issue mortgage bonds of Kazakhstan Mortgage Company JSC (Almaty) (KASE's official "A" listing category, KZIKb2; KZT1, KZT2,700.0 m.; August 11, 03 - October 1,13, semiannual coupon 7.70% APR for the current period); - KZ2CKY10A986 issue mortgage bonds of Kazakhstan Mortgage Company JSC (KASE's official "A" listing category, KZIKb3; KZT1, KZT4,500.0 m.; December 1, 03 - April 1, 14, semiannual coupon 8.90% APR for the current period); - KZ2CKY10B075 issue mortgage bonds of Kazakhstan Mortgage Company JSC (KASE's official "A" listing category, KZIKb4; KZT1, KZT4,500.0 m.; February 1, 04 - April 1, 14, semiannual coupon, 8.40% APR for the current period); - KZ2CKY03B294 issue mortgage bonds of Bank CenterCredit JSC (Almaty) (KASE's official "A" listing category, CCBNb5; KZT1, KZT500.0 m.; September 24, 04 - September 24, 07, semiannual coupon 8.50% APR); - KZPC1Y07B648 issue bonds of BTA Ipoteka JSC (Almaty) (KASE's official "A" listing category, BTAIb7; KZT100, KZT4.0 bn.; July 13, 05 - July 13, 12, semiannual coupon indexed at inflation rate, 8.60% APR for the reporting period); - KZPC1Y03B198 issue bonds Halyk savings bank of Kazakhstan JSC (Almaty) (KASE's official "A" listing category, HSBKb5; KZT1, KZT5.0 bn.; May 19, 04 - May 19, 07, semiannual coupon 5.00% APR) for the term 14 days also of the following securities: - KZ2CKY05A473 issue bonds indexed ta tenge devaluation level (Astana) (KASE's official "A" listing category; BRKZb1; KZT1,000, KZT4,500.0 m.; February 15, 02 - February 15, 07, semiannual coupon 8.50% APR); - KZPC1Y03B878 issue bonds of Tsesnabank JSC (Astana) (KASE's official "A" listing category, TSBNb3, KZT1, KZT5.0 bn.; February 8, 06 - February 8, 09, semiannual coupon 8.0% APR); - KZPC1Y05D501 issue bonds of Astana-Finance JSC (Astana) (KASE's official "A" listing category, ASFIb5; KZT100, KZT5.0 bn.; January 21, 05 - January 21, 10, semiannual coupon indexed by inflation level, 9.90% APR for the current period) for terms 1, 7 and 14 days. [2006-02-24]