On July 28, repeated special trading session for offering of MEKKAM KZK100000449 (MKM012_0163) with settlement on July 30 was held on KASE
/KASE, July 28, 2026/ – As announced earlier, a repeated special trading session for the offering of government short-term treasury bonds of Kazakhstan's Ministry of Finance (MEKKAM) KZK100000449 (MKM012_0163) with settlement on July 30, 2026 was held in the trading system of Kazakhstan Stock Exchange (KASE) today.
According to the message received by KASE, the issuer executed orders for a total of KZT 18,062,293,000 at par value, setting the cut-off price at 88.8761 % of the par value (yield – 16.20 % per annum). The weighted average clean price in executed orders was 88.9216 % of the par value (yield – 16.13 % per annum).
An extended news item on the offering results will be published later.
KASE news item "Repeated special trading session for offering of МЕККАМ KZK100000449 (MKM012_0163) with settlement on July 30 and current maturity of 284 days is held on KASE today" is available at see more
[2026-07-28]