ANALYSIS: Dynamics of conventional pension unit of Kazakhstan APF from the beginning of the activity till February 1, 2008
22.02.08 20:57
/IRBIS, Vitaliy Tomskiy, February 22, 08/ - The following table comprises
values of conventional pension unit (CPU) of Kazakhstan accumulative
pension funds (APF) as of February 1, 2008, presented to IRBIS agency to
spread by Agency of Republic of Kazakhstan for regulation and supervision
of financial market and financial organizations, and also dynamics of this
indicator for the different periods of funds' activity (calculated by IRBIS).
The efficiency of assets management should be judged not by absolute
value of CPU, but by speed of its changing, as absolute value of unit
depends on the term of fund's activity. Exactly by this reason IRBIS agency
operates in the table by speed of CPU changing in different periods,
expressed in percentage APR (these indicators are given without
parenthesis). This indicator for each year was received as differences
between final and initial values of CPU referred to initial value, expressed in
percentage, after that divided by number of days in the period and multiply by
365. According to IRBIS's specialists, received indicator may be considered
as indicated yield of fund's assets in the period for depositor (without taking
into account of inflation influence).
Funds have been sorted out by order, which corresponds to the start of
their activity in the market. Trends are given in parenthesis: for CPU value
- in percents relative to corresponding data as of January 1, 2007, for CPU
changing - in percentage items (i.e. value of previous period is deducted
from the current yield expressed as percents per annum) relative to the
same date.
-----------------------------------------------------------------------------------------------
CPU change, % APR
Value ----------------------------------------------------------------
since the beginning of: over the last
Activity of ----------------------------------- ---------------------------
Start CPU on acti-
Fund date Feb. 1,08 vity 2005 2006 2007 6 mon. 3 mon. 1 mon.
----- ----------- --------- ------- ------- ------- -------- ------- -------- --------
SAPF Jan 15, 98 355.557 25.86 6.79 8.19 5.74 5.98 7.02 -1.55
(-0.13) (-0.05) (-0.25) (+2.45) (-0.63) (-1.74) (-2.49) (-12.77)
----- ----------- --------- ------- ------- ------- -------- ------- -------- --------
HBK Feb 24, 98 451.182 35.94 12.53 13.04 7.84 5.38 10.21 -6.78
(-0.58) (-0.27) (-0.62) (+3.73) (-1.29) (-1.35) (-3.27) (-26.42)
----- ----------- --------- ------- ------- ------- -------- ------- -------- --------
Atam Mar 22, 98 447.667 35.84 9.78 8.89 4.75 1.80 -3.98 -28.75
(-2.44) (-1.15) (-1.36) (+1.72) (-3.035) (-6.73) (-14.12) (-39.75)
----- ----------- --------- ------- ------- ------- -------- ------- -------- --------
Ku- Mar 24, 98 381.455 29.03 10.81 10.76 8.39 1.09 2.37 8.74
naev (+0.74) (+0.29) (+0.02) (+3.58) (+0.09) (-1.29) (+3.12) (+0.83)
----- ----------- --------- ------- ------- ------- -------- ------- -------- --------
Kaz- Apr 19, 98 440.507 35.38 10.37 10.10 9.32 10.36 16.32 0.57
mys (+0.05) (+0.02) (-0.27) (+3.10) (-0.74) (-0.15) (-2.88) (-25.14)
----- ----------- --------- ------- ------- ------- -------- ------- -------- --------
UlUm Apr 20, 98 435.934 34.91 10.72 10.82 9.80 13.03 15.57 -13.59
(-1.15) (-0.53) (-0.82) (+2.82) (-2.12) (-6.68) (-10.74) (-44.71)
----- ----------- --------- ------- ------- ------- -------- ------- -------- --------
Kaz-n Apr 28, 98 543.664 46.22 22.51 26.42 10.05 6.76 17.06 16.94
(+1.44) (+0.80) (+0.16) (+8.79) (+0.72) (+0.54) (+11.20) (-18.55)
----- ----------- --------- ------- ------- ------- -------- ------- -------- --------
NGD June 7, 98 401.738 31.79 8.30 8.00 8.66 9.40 13.51 -6.10
(-0.52) (-0.22) (-0.45) (+2.24) (-1.31) (-3.79) (-9.66) (-13.95)
----- ----------- --------- ------- ------- ------- -------- ------- -------- --------
Gran- Mar 3, 99 278.429 20.38 7.00 6.91 4.28 3.55 11.31 10.25
tum (+0.87) (+0.27) (+0.15) (+2.44) (+0.54) (+2.26) (+5.36) (-13.89)
----- ----------- --------- ------- ------- ------- -------- ------- -------- --------
SE June 20, 99 221.773 14.54 8.64 6.59 2.81 6.09 11.20 5.12
NIM (+0.43) (+0.11) (-0.06) (+2.17) (+0.21) (-1.37) (+0.46) (-8.18)
----- ----------- --------- ------- ------- ------- -------- ------- -------- --------
Kor- Dec 12, 99 201.256 12.65 8.76 8.50 7.24 6.02 8.40 9.65
gau (+0.82) (+0.20) (+0.10) (+2.91) (+0.26) (+1.01) (-0.73) (+2.58)
----- ----------- --------- ------- ------- ------- -------- ------- -------- --------
Otan Nov 26, 01 172.062 11.98 11.82 12.81 10.97 9.59 15.11 7.89
(+0.670) (+0.19) (-0.03) (+4.19) (-0.19) (-2.76) (-0.80) (-8.37)
----- ----------- --------- ------- ------- ------- -------- ------- -------- --------
Kapi- Mar 6, 02 161.689 10.74 12.00 13.34 11.15 7.28 14.64 16.22
tal (+1.38) (+0.38) (+0.28) (+4.65) (+0.58) (+0.94) (+2.94) (-2.64)
----- ----------- --------- ------- ------- ------- -------- ------- -------- --------
RES May 18, 07 106.362 11.79 - - - 12.36 17.31 19.02
(+1.61) (+3.13) - - - - (+4.70) (-3.41)
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The table below let us observe dynamics of the described above indicator of
CPU changing (% APR) in monthly terms for the last 12 months. Funds are
sorted out in alphabetical order in this table.
-----------------------------------------------------------------------------------------------
year 2007
--------------------------------------------------------------------------
Fund II III IV rage VI VII VIII IX X XI XII 2008 нее
----- ----- ---- ----- ----- ----- ----- ----- ----- ----- ----- ----- ----- -----
Atam +6 +5.5 +7.7 +5.8 +6.2 +9.9 +4.8 +5.5 +12.6 +6.5 +11.0 -28.7 +4.4
VTF +3.7 -104 +2.2 Х Х X X X Х Х Х Х -32.7
SAPF +5.4 +16 +2.8 -2.3 +5.7 +8.4 +12.1 -4.0 +5.7 +11.4 +11.2 -1.5 +5.9
Gran- +10.2 +6.5 -4.2 +10.3 +11.5 -3.1 -12.8 +7 -5.4 -1 +24.1 +10.3 +4.4
tum
Kaz- +5.9 +5.1 +5.6 +30.1 +20 +13.8 -6.1 +12.6 -15.4 -2.3 +35.5 +16.9 +10.1
n
Kaz- +15 -0.8 +2 +4.1 +14.6 +1.4 -2.4 +6.7 +8.8 +22.4 +25.7 +0.6 +8.2
mys
Kapi +8 +4.2 +31.7 +23.8 +13.8 +10.8 +0.1 -8.6 +7.7 +8.1 +18.9 +16.2 +11.2
tal
Kor- +6 +7.3 +7.4 +19.9 +6.5 +3.8 -1.7 +0.6 +11.8 +8.3 +7.1 +9.6 +7.2
gau
Ku- +9.7 +5.7 +4.1 +39.9 +17.7 +16.4 +1.6 -1.8 -0.5 -9.9 +7.9 +8.7 +8.3
naev
NBK +10.8 -2.7 +15.4 +22.1 +14.2 +1 -9.2 +9.1 +2.6 +17.9 +19.6 -6.8 +7.8
NGD +8.1 +5.3 +5.4 +5.4 +12.6 +15.3 -6.2 +0.3 +21.5 +39.6 +7.8 -6.1 +9.1
Otan +26 -5.2 +12 +19.3 +1 +23.6 -3.7 +5.6 +10.2 +20.9 +16.3 +7.9 +11.2
RES - - - - - - +9.8 +5.7 +5.4 +9.6 +22.4 +19 +12
SE- +23.2 -3.3 -31 -0.7 +0.8 +13 -3.5 +2.9 +3.8 +15 +13.3 +5.1 +3.2
NIM
UlUm -35 -7 +14.2 -5.1 +9.9 +23.2 +17.3 -5.1 +16.7 +29.6 +31.1 -13.6 +6.4
----- ----- ---- ----- ----- ----- ----- ----- ----- ----- ----- ----- ----- -----
Ave- +7.4 -4.8 +5.4 +12.3 +9.6 +10.6 >0.01 +2.6 +6.1 +12.6 +18 +2.7 +7
rage
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Abbreviations are used in the table for compactness, as follows: VTF - PAP
Valut-Tranzit-Fund JSC; Kunaev - PAPF of open type named after Kunaev
JSC; Atam - APF Atameken JSC; Kaz-n - till December 30, 05 -APF BTA
Kurmet-Kazakhstan JSC, afterwards - APF BTA Kazakhstan JSC; HBK -
APF of Halyk Bank of Kazakhstan JSC; Kazmys - APF Kazakhmys JSC;
UlUm - till Oct 1,01 OAPF Ular CJSC, afterwards - APF UlarUmit CJSC;
NGD - APF NefteGas-DEM CJSC; Kurmet - POAPF Kurmet JSC;
Grantum - till April 6, 06 - ABN AMRO-KaspiyMunayGas APF JSC,
afterwards - GRANTUM APF JSC (Subsidiary company of
Kazkommertsbank JSC); SENIM - OAPF Senim JSC; Korgau - APF
Korgau JSC; PMK - KAPF Philip Morris Kazakhstan JSC; Otan - OAPF
OTAN JSC; SAPF - Accumulative pension fund SAPF JSC; Capital - APF
CAPITAL JSC ; RES - APF RESPUBLIKA JSC ; "Х" - data are absent due
to inactivity or liquidation.
[2008-02-22]