/KASE, May 26, 06/ - By the decision of Kazakhstan stock exchange's (KASE)
Board since May 29 of 2006 trades in KZPC1Y05C053 issue
bonds of Holding KAZEXPORTASTYK JSC (Astana) (KASE's official "A"
listing category, KASTb1; KZT1000, KZT4.0 bn.; May 14, 06 - May 14, 11;
semi-annual coupon, indexed at inflation rate, 10.7% APR for the first
coupon period, 30/360) are opened in KASE's secondary market sector.
Quotation accuracy of NRBNb5 in KASE's trade system is four decimal
figures of net price of a bond expressed in percentage from face value.
KIB ASSET MANGEMENT JSC (Almaty) will perform market maker's
functions on the bonds on KASE with minimal volume of compulsory
quotation at the amount of 2,060 bonds.
The bonds were included in KASE's official "A" listing category on
May 17 of 2006.
Detailed information about these securities is available on KASE's web site
at
http://www.kase.kz/emitters/kast.asp
[2006-05-26]