Issuance and redemption schedule of State Securities of Kazakhstan for this week
17.08.99 00:00
/IRBIS, Aug.17, 99/ - From August 16 to August 22 at the primary market for
State Securities of Kazakhstan:
The Ministry of Finance of Kazakhstan securities:
Issuance, August 16 - 400 mln tenge, MEKKAM-3 (#237/3).
Issuance, August 17 - $3 mln, MEKAVM-3 (#19/3V).
Redemption, August 19 - 11.3 mln tenge, MEKKAM-6 (#106/6,
KZ46L1908998).
Redemption, August 19 - $2.9 mln, MEKAVM-3 (#6/3V, KZ43L1908995).
The National Bank of Kazakhstan securities:
Issuance, August 19 - 200 mln tenge, notes-21 (#327/n).
Issuance, August 20 - 200 mln, notes-31 (#328/n).
Redemption, August 20 - 821.5 mln tenge, notes-21 (#322/n,
KZ8LK2008995).
The total volume of State Securities of Kazakhstan redemption for this
week reaches an amount of 1,210.5 mln tenge (indexed securities are
assessed at 131.90 tenge per dollar).
Shown is the actual redemption volume, excluding securities converted into
AVMEKAM.