/IRBIS, Vitaliy Tomskiy, September 10, 08/ - September 9, 2008 total
volume of deals concluded with corporate bonds in Kazakhstan Stock
Exchange's (KASE) secondary market sector has totaled USD11 719.7 th or
equivalent of KZT1 403.0 m. while the number of concluded deals was 13.
Relative to the previous trading day, volume of deals decreased by $2 185.6
th (15.7 %) or by equivalent of KZT260.4 m.
The table contains results of corporate bonds trades on deals, concluded in
KASE's trade system by open trade method and fully passed settlements
procedures.
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Net price (%) and
yield to maturity (% APR)
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Symbol Trend Volume
of bonds last average --------------- of deals, Number
on KASE min max deal weighted WA last th. USD of deals
-------- -------- -------- -------- -------- ------- ------- --------- --------
BTASb1 98.1211 98.1211 98.1211 98.1211 19.76 1
16.50 16.50 16.50 16.50
BTASb9 99.9634 99.9634 99.9634 99.9634 8,562.32 1
11.00 11.00 11.00 11.00
BTTRb1 110.1045 110.1045 110.1045 110.1045 -0.0173 -0.0173 20.41 1
17.00 17.00 17.00 17.00 0 0
CACMb1 77.0337 77.0337 77.0337 77.0337 2.93 1
19.73 19.73 19.73 19.73
KKAGb1 98.0862 98.0862 98.0862 98.0862 1.98 1
14.50 14.50 14.50 14.50
KZIKb8 97.3465 97.3465 97.3465 97.3465 2,613.34 2
16.50 16.50 16.50 16.50
ORDBb2 94.8589 97.3694 94.8857 96.1209 73.26 4
13.01 12.01 13.00 12.51
-------- -------- -------- -------- -------- ------- ------- --------- --------
8 11,719.7 13
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Trends are given in percent, that is, they represent difference of last and
previous value of price or yield (WA - weighted average, last - last deal) and
are calculated relative to seven-day calendar period. If during this period
deals with bonds were not concluded, trend on the given bond is not
calculated. If during last seven days on KASE's open market at least one
deal was made, at calculation of trend values of price and yield of bonds are
counted, which are calculated according to last resulting day of given seven-
day period.
September 9, 2008 no nego deals with corporate bonds on KASE were
made.
Full list of issuers' codes and securities traded on KASE is available at
http://www.kase.kz/instruments/nzb_code.htm
Full results of trades in corporate bonds on KASE, including exhaustive
characteristics of demand and offer on each security, and also parameters of
all contractual deals, are spread within specialized informational products of
IRBIS agency.
[2008-09-10]