MEOKAM-36 OF ISSUE 66 (KZK2KY030668) TO BE REPEATEDLY PLACED AT KASE SPECIAL TRADES AUGUST 27

22.08.08 18:00
/KASE, August 22, 08/ - Kazakhstan Stock Exchange (KASE) informs that government mid-term treasury obligations of the Ministry of Finance of the Republic of Kazakhstan (MEOKAM) will be repeatedly placed on KASE August 27, 2008 in accordance with the terms specified below (Almaty time). -------------------------------------------------------------------- Security type: MEOKAM-36 National identification number: KZK2KY030668 Issue order number: 66/36 KASE trade code: MOM036_0066 Volume of bonds in circulation, items: 9,000,000 Face value, tenge: 1000.00 First date of circulation: 20.08.2008 Last date of circulation: 19.08.2011 Maturity date: 20.08.2011 Circulation term: 3 years (1080 days) Coupon rate: 8.50 % APR Coupon payment period: 2 times a year Schedule of upcoming payments: 1 20.02.2009 2 20.08.2009 3 20.02.2010 4 20.08.2010 5 20.02.2011 6 20.08.2011 Time base: 30/360 ------------------------------------------ ------------------------- Declared volume offering, mln tenge: 5000.0 Subject of trade: net face value Stake of satisfaction of market orders, %: 70 Order submission method: closed Order receipt time: 09:00-11:00 Order confirmation time: 09:00-11:30 (Т+0) Striking time: before 15:00 (Т+0) Time of payment: before 15:00 (Т+0) Limited orders satisfaction method: by declared price Market orders satisfaction method: by weighted average price -------------------------------------------------------------------- The recurrent auction will be executed by the specialized trades' method regulated by the KASE internal document "Regulations on Trades Execution Methods", available at http://www.kase.kz/geninfo/normbase/methods.pdf Orders for participation in the specialized trades can be submitted only by the category "K" KASE members (the right to participate in trades in government securities circulating on the Exchange), which are considered as primary dealers by the rules below mentioned. Investors can submit orders through these legal entities. The complete list of KASE category "K" members is published on the Exchange website at http://www.kase.kz/kasemembers/ The "net" (without accrued interest) price of security in percent of bond face value, expressed within the fourth decimal place must be indicated as the price in the order. This indicator is a subject of trade. MEOKAM are issued in compliance with Rules on Issue, Placement, Servicing and Maturity of Government Treasury Obligations of the Republic of Kazakhstan (Rules of Issue, http://www.kase.kz/mix/newgko.pdf ), approved by resolution No. 941 of the Government of the Republic of Kazakhstan of September 8, 2004, and are placed based on Rules of Placement of Government Treasury Obligations of the Republic of Kazakhstan (http://www.kase.kz/geninfo/normbase/mekam_placement.pdf ) approved by the KASE Council decision of December 29, 2004. [2008-08-22]