Bta Securities refused the market-maker status on bonds of BTA Bank, TuranAlem Finance B.V. and BTA Bank subsidiary BTA Ipoteka
25.11.09 12:44
/KASE, November 25, 09/ - By Kazakhstan Stock Exchange (KASE) Board
decision BTA Bank joint stock company subsidiary BTA Securities (Almaty,
in the headline - BTA Securities) from December 8, 2009 is released from
market-maker obligations on KASE on the following securities:
1. bonds KZ2CKY08A535 (KASE official list buffer category, BTASb2) of BTA
Bank (Almaty);
2. bonds KZ2CKY10A887 (KASE official list buffer category, BTASb3) of BTA
Bank;
3. bonds KZ2CKY10B158 (KASE official list buffer category, BTASb4) of BTA
Bank;
4. bonds KZ2CKY10B828 (KASE official list buffer category, BTASb5) of BTA
Bank;
5. bonds KZ2C0Y30C125 (KASE official list buffer category, BTASb7) of BTA
Bank;
6. bonds KZ2C0Y10D067 (KASE official list buffer category, BTASb9) of BTA
Bank;
7. international bonds XS0168848801 (KASE official list buffer category,
BTASe3) TuranAlem Finance B.V. (Rotterdam, Netherlands);
8. bonds KZ2C0Y07A861 (KASE official list Non-rated Debt Securities first
subcategory, BTAIb1) of BTA Bank subsidiary BTA Ipoteka (Almaty);
9. bonds KZ2CKY10B257 (KASE official list Non-rated Debt Securities first
subcategory, BTAIb2) of BTA Bank subsidiary BTA Ipoteka;
10. bonds KZPC1Y07B335 (KASE official list Non-rated Debt Securities first
subcategory, BTAIb3) of BTA Bank subsidiary BTA Ipoteka;
11. bonds KZPC2Y05B335 (KASE official list Non-rated Debt Securities first
subcategory, BTAIb4) of BTA Bank subsidiary BTA Ipoteka;
12. bonds KZPC3Y10B333 (KASE official list Non-rated Debt Securities first
subcategory, BTAIb5) of BTA Bank subsidiary BTA Ipoteka;
13. bonds KZP04Y05B335 (KASE official list Non-rated Debt Securities first
subcategory, BTAIb6) of BTA Bank subsidiary BTA Ipoteka;
14. bonds KZPC1Y07B648 (KASE official list Non-rated Debt Securities first
subcategory, BTAIb7) of BTA Bank subsidiary BTA Ipoteka;
15. bonds KZPC2Y08B644 (KASE official list Non-rated Debt Securities first
subcategory, BTAIb8) of BTA Bank subsidiary BTA Ipoteka;
16. bonds KZPC3Y10B648 (KASE official list Non-rated Debt Securities first
subcategory, BTAIb9) of BTA Bank subsidiary BTA Ipoteka;
17. bonds KZPC1Y10C111 (KASE official list Non-rated Debt Securities first
subcategory, BTAIb11) of BTA Bank subsidiary BTA Ipoteka;
18. bonds KZP02Y10C113 (KASE official list Non-rated Debt Securities first
subcategory, BTAIb12) of BTA Bank subsidiary BTA Ipoteka;
19. bonds KZP03Y10C111(KASE official list Non-rated Debt Securities first
subcategory, BTAIb13) of BTA Bank subsidiary BTA Ipoteka;
20. bonds KZP05Y07C112 (KASE official list Non-rated Debt Securities first
subcategory, BTAIb14) of BTA Bank subsidiary BTA Ipoteka;
21. bonds KZP07Y10C112 (KASE official list Non-rated Debt Securities first
subcategory, BTAIb16) of BTA Bank subsidiary BTA Ipoteka.
This decision was made in compliance with item 16 of article 5 of the KASE
internal document "Rules of Market Makers Activities" based on the market-
maker application.
[2009-11-25]