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22.07.2011 16:49 #KASE news

Kazakhstan APF conventional pension unit dynamics from beginning of operation till July 1, 2011

/IRBIS, July 22, 2011/ - The table below comprises values of conditional pension unit (UPE) of Kazakhstan national pension funds (NPF) as of July 1, 2011, presented to IRBIS agency for spreading by the Agency of the Republic of Kazakhstan on Regulation and Supervision of Financial Market and Financial Organizations, and also dynamics of this indicator in different periods of funds' operation (calculated by IRBIS).

Assets management efficiency should be judged not on the basis of absolute value of PE, but by its changing speed, as unit absolute value depends on the term of fund's operation. Exactly due to this reason IRBIS operates 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, divided by number of days in the period and multiplied by 365. According to IRBIS specialists, the received indicator may be considered as indicated yield of fund's assets in the period for depositor (without account of inflation influence).

Funds have been sorted out by the order corresponding to the start of operation in the market. Trends are given in parenthesis: for CPU value - in percent relative to corresponding data as of June 1, 2011, 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
                           ----------------------------------------------
                             Since the beginning of:            For last:
        Activity           ----------------------------------------------
           Start CPU as of  Acti-  2008  2009   2010      6      3      1
Fund        date June 1,11  vity.                    months months  month
------- -------- --------- ------ ----- ----- ------ ------ ------ ------
SAPF    15.01.98   434.118  24.81  6.27  7.18   5.94   3.65   4.41   3.54
                      +0.3   -0.1 -0.05  -0.1   -0.1   -0.3   -0.2   -0.2
------- -------- --------- ------ ----- ----- ------ ------ ------ ------
NBK     24.02.98   542.758  33.15  5.60 11.38   6.33   7.58   2.77  -0.70
                      -0.1   -0.2  -0.2  -0.4   -0.4   -2.4   -3.1   -1.4
------- -------- --------- ------ ----- ----- ------ ------ ------ ------
Atam    22.03.98   552.978  34.10  5.86  5.59   4.24   2.80   1.08   3.69
                      +0.3   -0.1 -0.03 -0.05  -0.02   -0.3   -1.6   +1.7
------- -------- --------- ------ ----- ----- ------ ------ ------ ------
Amanat  24.03.98   432.518  25.04  4.07  2.03   1.39  -1.53   2.47   3.89
                      +0.3  -0.05 +0.01  +0.1   +0.1   -2.1   +8.6   -2.2
------- -------- --------- ------ ----- ----- ------ ------ ------ ------
Kazmys  19.04.98   472.891  28.23  2.12  1.95   2.17   1.83  -5.41 -12.96
                      -1.1   -0.6  -0.4  -0.5   -0.9   -0.1  -11.2  -21.7
------- -------- --------- ------ ----- ----- ------ ------ ------ ------
UlUm    20.04.98   459.376  27.21  1.19 10.03   1.60  -3.22   0.29   0.60
                     +0.05   -0.2 -0.01  -0.3   -0.1   -2.5   -4.7   +2.0
------- -------- --------- ------ ----- ----- ------ ------ ------ ------
NGD     07.06.98   505.468  31.01  7.19  6.40   5.89   5.17   5.06   6.24
                      +0.5 +0.002 +0.01 +0.03   +0.1   -0.4   -0.1   +2.9
------- -------- --------- ------ ----- ----- ------ ------ ------ ------
Grantum 03.03.99   353.056  20.51  7.98 10.08   7.07   7.58   5.75   4.95
                      +0.4  -0.02 -0.04  -0.1   -0.1   -0.2   -2.2   +0.7
------- -------- --------- ------ ----- ----- ------ ------ ------ ------
Euras   20.07.99   273.372  14.50  6.80  7.37   8.93  10.10   5.14  -2.37
                      -0.2   -0.1  -0.2  -0.3   -0.7   -1.6  -11.7  -13.0
------- -------- --------- ------ ----- ----- ------ ------ ------ ------
Otan    26.11.01   191.662   9.55  3.47  3.29   3.17  -1.38   9.48   2.08
                      +0.2  -0.05 -0.03 -0.04   -0.1   -3.1   +3.1   -1.5
------- -------- --------- ------ ----- ----- ------ ------ ------ ------
Capital 06.03.02   198.382  10.55  6.97  6.63   5.82   5.77   5.32   6.23
                      +0.5  +0.02 +0.02 +0.02  +0.05   +0.2   -0.6   +1.0
------- -------- --------- ------ ----- ----- ------ ------ ------ ------
RES     18.05.07   139.533   9.59  9.52  7.84   6.14   5.35   4.28   5.62
                      +0.5  -0.04 -0.05 -0.04 -0.002   -0.3   -0.4   +3.3
-------------------------------------------------------------------------

The table below shows dynamics of the described above indicator of CPU changing (% APR) in monthly terms for the last 12 months. The funds are sorted out in alphabetical order.

--------------------------------------------------------------------------------
                                     2010                                2011
      ----- ----- ----- ----- ----- ----- ----- ----- ----- ----- ----- ---  Ave
Fund    VII  VIII    IX     X    XI   XII     I    II   III    IV     V  VI rage
----- ---------- ----- ----- ----- ----- ----- ----- ----- ----- ----- ---------
Ama   -12.7 -0.2  +2.0  +7.0  +5.3 +16.4  -2.8  +9.6 -21.7  -2.7  +6.1 +3.9 +0.8
nat                                                                     
Atam   +3.2 +4.2  +3.9  +3.9  +5.6  +5.2  +1.8  +3.3  +8.3  -2.4  +1.9 +3.7 +3.5
SAPF   +4.2 +7.4  +7.0  +5.8  +5.1  +5.3  +1.9  +2.5  +4.1  +6.0  +3.7 +3.5 +4.7
Gran   +5.1 +4.5  +3.3  +3.7  +4.5  +6.2  +7.6  +8.4 +11.6  +8.1  +4.2 +4.9 +6.0
tum                                                                     
Euras  +4.5 +6.0  +6.9  +1.2  +4.4  +6.8  +7.1  +4.2 +32.1  +6.9 +10.7 -2.4 +7.4
Kaz    +0.5 -0.3  -1.4 +24.4  -2.0 -11.8  +1.7  +5.0 +20.7 -12.4 +8.7 -13.0 +1.7
mys                                                                    
Capi  +4.7 +10.1  +8.7  +6.6  +4.1  +5.0  +6.6  +3.5  +7.9  +4.5  +5.2 +6.2 +6.1
tal
NBK    +8.9 +0.1  +4.8  +8.0  +9.9 +13.1 +10.5 +18.1  +8.7  +8.4  +0.7 -0.7 +7.5
NGD    +6.4 +4.6  +6.4  +6.1  +1.9  +8.5  +2.9  +6.3  +6.5  +5.6  +3.3 +6.2 +5.4
Otan  -1.6  +11.9  -2.9  +8.7 -14.0 +20.3 -14.5 -15.7  -6.7 +22.8 +3.6 +2.1 +1.2
RES    +4.9 +9.0  +4.0  +8.6  +6.6  +7.3  +6.4  +5.9  +6.6  +4.9  +2.3 +5.6 +6.0
UlUm   -4.1 +3.7 +14.0 +13.5  +4.0 +15.4  +7.6 -45.6 +14.6  +1.7  -1.4 +0.6 +2.0
----- --------- ----- ----- ----- ----- ----- ----- ----- ----- ----- ----- ----
Ave-   +2.0 +5.1  +4.7  +8.1  +2.9  +8.1  +3.1  +0.5  +7.7  +4.3  +4.1 +1.7 +4.4
rage
--------------------------------------------------------------------------------

Abbreviations that are used in the table: Amanat - PAPF AMANAT-KAZAKHSTAN JSC (former name is PAPF of open type named after Kunaev JSC); Atam - APF Atameken JSC; BTA - till February 7, 06 -APF BTA Kazakhstan JSC, afterwards - DOJSC TuranAlem bank JSC APF BTA Kazakhstan;
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; Grantum - till April 6, 06 - ABN AMRO-KaspiyMunayGas APF JSC, afterwards - GRANTUM APF JSC (Subsidiary company of Kazkommertsbank JSC); Evraz - Eurasian accumulated pension fund JSC (Subsidiary of Eurasian Bank JSC); Korgau - APF Korgau JSC; Otan - OAPF OTAN JSC; SAPF - Accumulative pension fund SAPF JSC; Capital - APF CAPITAL JSC (subsidiary of Bank CenterCredit JSC); RES - APF RESPUBLIKA JSC.

The data aforementioned is not an offer or recommendation to sell or buy any financial instruments on KASE. Using the data while making investment decisions does not rest the responsibility for possible losses resultant from such decision on the IRBIS agency.

[2011-07-22]