/UPDATED/ Issuance and redemption schedule for State Securities of Kazakhstan for this week
07.09.99 00:00
/IRBIS, Sep.07, 99, repeat delivery in connection with mistaken calculation of
sum of МЕОКАМ-24 September 09 redemption/ - From September 06 to
September 12 on primary market for state securities of Kazakhstan:
State securities of the Ministry of Finance
Issuance, September 06 - 400 mln tenge, MEKKAM-3 (#239/3).
Issuance, September 07 - $3 mln, MEKAVM-3 (#22/3B).
Coupon payment, September 07 - 137.5 mln tenge (#1/6I, KZ32L3011999).
Coupon payment, September 09 - 7.5 mln tenge (#3/24, KZ52K0909997).
Maturity, September 09 - $3.2 mln, MEKAVM-3 (#8/3B, KZ43L0909994).
Maturity, September 09 - 100.0 mln tenge, MEOKAM-24 (#3/24, KZ52K0909997).
State securities of the National Bank
Issuance, September 08 - 200 mln tenge, notes-35 (#333/n).
Issuance, September 09 - 200 mln tenge, notes-14 (#334/n).
Issuance, September 10 - 200 mln tenge, notes-07 (#335/n).
Maturity, September 09 - 1,711.1 mln tenge (#329/n, KZ8EK0909991).
Maturity, September 10 - 423.1 mln tenge (#327/n, KZ8LK1009994).
Total volume of state securities of Kazakhstan redemption at 132.20
tenge per dollar reaches 2,805.3 mln tenge in this week.
Shown is actual volume of maturing securities excluding those converted into
AVMEKAM.