Issuance and redemption schedule of Kazakhstan state securities for this week
09.08.99 00:00
/IRBIS, 09.08.99/ - From August 02 to August 15 at the primary market for
Kazakhstan state securities:
Securities of the Ministry of Finance
Issuance, August 09 - 400 mln. tenge, MEKKAM-3 (#236/3).
Issuance, August 10 - $ 3 mln., MEKAVM-3 (#18/3V).
Redemption, August 12 - 34.6 mln. tenge, MEOKAM-24 (#2/24,
KZ52K1208993).
Redemption, August 12 - 141.9 mln. tenge, MEKKAM-12 (#27/12,
KZ4CL1208998).
Redemption, August 12 - 10.0 mln. tenge, MEKKAM-6 (#102/6,
KZ46L1208993).
Redemption, August 12 - $ 3.0 mln., MEKAVM-3 (#5/3V, KZ43L1208990).
Coupon payment, August 12 - 2.8 mln. tenge.
Securities of the National Bank
Issuance, August 12 - 200 mln. tenge, notes-35 (#325/n).
Issuance, August 13 - 200 mln. tenge, notes-21 (#326/n).
Redemption, August 12 - 1 559.7 mln. tenge, notes-14 (#321/n,
KZ8EK1208997).
The total volume of the Kazakhstan state securities redemption for this
week reaches an amount of 2 149.40 mln. tenge ( indexed papers based
on their devaluation is taken into account at 132.00 tenge per dollar).
Shown is the actual redemption volume, excluding securities converted into
AVMEKAM.