Issuance and redemption schedule for state securities of Kazakhstan for this week
20.09.99 00:00
/IRBIS, Sep.20, 99/ - From September 20 to September 26 on primary
market for state securities of Kazakhstan:
Securities of the Ministry of Finance
Issuance, September 20 - 400 mln tenge, MEKKAM-3 (#241/3).
Issuance, September 21 - $3 mln, MEKAVM-3 (#24/3B).
Maturity, September 23 - $12.3 mln, MEKAVM-3 (#11/3B, KZ43L2309995).
Securities of the National Bank
Issuance, September 22 - $2 mln, currency notes-07 (#9/$n).
Issuance, September 23 - 200 mln tenge, notes-28 (#338/n).
Issuance, September 24 - $2 mln, currency notes-14 (#10/$n).
Maturity, September 24 - 3,114.9 mln tenge, (#328/n, KZ95K2409995;
#330/n, KZ8SK2409990, #334/n, KZ8EK2409990).
Total redemption volume of state securities of Kazakhstan at 135.00
tenge per dollar is estimated to be 4,779.9 mln tenge.
Given is the total redemption volume excluding securities converted into
AVMEKAM.