KASE temporary bans use of 41 corporate securities as auto repo subject

03.03.09 15:21
/KASE, March 3, 09/ - The Board of Kazakhstan Stock Exchange (KASE) on March 2, 2009 decided to temporarily ban use of below-listed corporate securities as subject of repo transactions carried out "automatically". The decision was made in connection with the following: (item 2 of the KASE internal document "Specification of Automatic Repo Market" allows to use as auto repo subjects: shares, issuers of which fully comply with listing requirements of the first category in the sector "Shares"; debt securities, issuers of which fully comply with listing requirements of the category "Rated debt securities" and the first subcategory of the category "Non-rated debt securities"; (the securities listed below do not comply with a listing requirement on availability of a market maker, set by sub-item 9) of item 4, sub-item 7) of item 8 and sub-item 9) of item 10 of resolution No. 77 of the Board of the Agency of the Republic of Kazakhstan on Regulation and Supervision of Financial Market and Financial Organizations "On Requirements to Issuers and Securities thereof, Admissible (Admitted) to Circulation on Stock Exchange, and to Separate Categories of Stock Exchange List" dated May 26, 2008. The ban imposed by the KASE Board shall be effective until the in-compliance is removed. The KASE Board imposed the ban on the following securities: 1. bonds KZ2CKY08A535 (KASE official list, the first subcategory of the Non- rated debt securities category, BTASb2) of BTA Bank; 2. bonds KZ2CKY10A887 (KASE official list, the first subcategory of the Non- rated debt securities category, BTASb3) of BTA Bank; 3. bonds KZ2CKY10В158 (KASE official list, the first subcategory of the Non- rated debt securities category, BTASb4) of BTA Bank; 4. bonds KZ2CKY10B828 (KASE official list, the first subcategory of the Non- rated debt securities category, BTASb5) of BTA Bank; 5. bonds KZ2C0Y30С125 (KASE official list, the first subcategory of the Non- rated debt securities category, BTASb7) of BTA Bank; 6. bonds KZ2C0Y10D067 (KASE official list, the first subcategory of the Non- rated debt securities category, BTASb9) of BTA Bank; 7. bonds KZ2C0Y07D147 (KASE official list, the first subcategory of the Non- rated debt securities category, BTASb10) of BTA Bank; 8. international bonds XS0168848801 (KASE official list, the Rated debt securities category, BTASe3) of TuranAlem Finance B.V.; 9. international bonds USN89065AF89 (KASE official list, the Rated debt securities category, BTASe4) of TuranAlem Finance B.V.; 10. international bonds US89989EAF43 (KASE official list, the Rated debt securities category, BTASe5) of TuranAlem Finance B.V.; 11. international bonds XS0251881289 (KASE official list, the Rated debt securities category, BTASe6) of TuranAlem Finance B.V.; 12. common stock KZ1C00260014 (KASE official list, the first category, TEBN) of Subsidiary of BTA Bank-Temirbank; 13. preferred stock KZ1P00260110 (KASE official list, the first category, TEBNp) of Subsidiary of BTA Bank-Temirbank; 14. bonds KZ2CKY07A867 (KASE official list, the first subcategory of the Non- rated debt securities category, BTAIb1) of Subsidiary mortgage organization of BTA Bank BTA Ipoteka; 15. bonds KZ2CKY10B257 (KASE official list, the first subcategory of the Non- rated debt securities category, BTAIb2) of Subsidiary mortgage organization of BTA Bank BTA Ipoteka; 16. bonds KZPC1Y07B335 (KASE official list, the first subcategory of the Non- rated debt securities category, BTAIb3) of Subsidiary mortgage organization of BTA Bank BTA Ipoteka; 17. bonds KZPC2Y05B335 (KASE official list, the first subcategory of the Non- rated debt securities category, BTAIb4) of Subsidiary mortgage organization of BTA Bank BTA Ipoteka; 18. bonds KZPC1Y10B333 (KASE official list, the first subcategory of the Non- rated debt securities category, BTAIb5) of Subsidiary mortgage organization of BTA Bank BTA Ipoteka; 19. bonds KZPC4Y05B331 (KASE official list, the first subcategory of the Non- rated debt securities category, BTAIb6) of Subsidiary mortgage organization of BTA Bank BTA Ipoteka; 20. bonds KZPC1Y07B648 (KASE official list, the first subcategory of the Non- rated debt securities category, BTAIb7) of Subsidiary mortgage organization of BTA Bank BTA Ipoteka; 21. bonds KZPC2Y08B644 (KASE official list, the first subcategory of the Non- rated debt securities category, BTAIb8) of Subsidiary mortgage organization of BTA Bank BTA Ipoteka; 22. bonds KZPC3Y10B648 (KASE official list, the first subcategory of the Non- rated debt securities category, BTAIb9) of Subsidiary mortgage organization of BTA Bank BTA Ipoteka; 23. bonds KZ2C0Y03C072 (KASE official list, the first subcategory of the Non- rated debt securities category, BTAIb10) of Subsidiary mortgage organization of BTA Bank BTA Ipoteka; 24. bonds KZPC1Y10C111 (KASE official list, the first subcategory of the Non- rated debt securities category, BTAIb11) of Subsidiary mortgage organization of BTA Bank BTA Ipoteka; 25. bonds KZPC2Y10C119 (KASE official list, the first subcategory of the Non- rated debt securities category, BTAIb12) of Subsidiary mortgage organization of BTA Bank BTA Ipoteka; 26. bonds KZPC3Y10C117 (KASE official list, the first subcategory of the Non- rated debt securities category, BTAIb13) of Subsidiary mortgage organization of BTA Bank BTA Ipoteka; 27. bonds KZP07Y10C112 (KASE official list, the first subcategory of the Non- rated debt securities category, BTAIb16) of Subsidiary mortgage organization of BTA Bank BTA Ipoteka; 28. common stock KZ1C20620015 (KASE official list, the second category, CHFM) of Chimpharm; 29. common stock KZ1C05500018 (KASE official list, the first category, UTMK) of Ust-Kamenogorsk Titanium and Magnesium Combine; 30. bonds KZ2CKY05B174 (KASE official list, the second subcategory of the Non-rated debt securities category, KZASb2) of KOSTANAY MINERALS; 31. bonds KZ2CKY05B885 (KASE official list, the first subcategory of the Non- rated debt securities category, KASSb1) of NGSC KazStroyService; 32. bonds KZ2CKY05B091 (KASE official list, the first subcategory of the Non- rated debt securities category, PRKRb1) of NC Food contract corporation; 33. bonds KZPC1Y07B929 (KASE official list, the first subcategory of the Non- rated debt securities category, PRKRb2) of NC Food contract corporation; 34. bonds KZPC2Y05B665 (KASE official list, the second subcategory of the Non-rated debt securities category, MREKb3) of Mangistau Electricity Distribution Network Company; 35. bonds KZPC3Y05B663 (KASE official list, the second subcategory of the Non-rated debt securities category, MREKb4) of Mangistau Electricity Distribution Network Company; 36. bonds KZ2C0Y05C192 (KASE official list, the first subcategory of the Non- rated debt securities category, KONDb1) of Condensate; 37. common stock KZ1C39700014 (KASE official list, the second category, LNAT) of SP Insurance Company London-Almaty; 38. common stock KZ1C49790013 (KASE official list, the second category, TMLZ) of Temirleasing; 39. bonds KZ2C0Y05C465 (KASE official list, the second subcategory of the Non-rated debt securities category, TMLZb1) of Temirleasing; 40. bonds KZ2CKY05C040 (KASE official list, the second subcategory of the Non-rated debt securities category, ROSAb2) of ROSA; 41. bonds KZ2C0Y04C450 (KASE official list, the first subcategory of the Non- rated debt securities category, ULBAb2) of Ulba metallurgical plant. The Specification of Automatic Repo Market is available at the KASE website at http://www.kase.kz/files/normative_base/sp_repo_eng.pdf The text of resolution No. 77 of the Board of AFS "On Requirements to Issuers and Securities thereof, Admissible (Admitted) to Circulation on Stock Exchange, and to Separate Categories of Stock Exchange List" dated May 26, 2008 is available at the KASE website at: http://www.kase.kz/geninfo/normbase/post_77_2008_eng.pdf [2009-03-03]