Schedule of Kazakhstan State Securities emission and redemption for this week
27.09.99 00:00
/IRBIS, Sep.27, 99/ - From September 27 to October 03 at the primary
market for State Securities of Kazakhstan:
The Ministry of Finance of Kazakhstan securities:
Emission, September 27 - 400 mln tenge, MEKKAM-3 (#242/3).
Emission, September 28 - $3 mln, MEKAVM-3 (#15/6V).
Emission, September 29 - 400 mln tenge, #4/3i, MEIKAM-3.
Redemption, September 30 - $11.5 mln, MEKAVM-3 (#12/3V,
KZ43L3009990).
Redemption, September 30 - $400 mln, MEIKAM-3 (#1/3i,
KZ31L3009995).
The National Bank of Kazakhstan securities:
Emission, September 30 - 200 mln tenge, notes-14 (#339/n).
Emission, October 01 - $2 mln, indexed notes-21 (#11/$n).
Redemption, September 30 - 301.8 mln tenge, notes-21 (#336/n,
KZ8EK3009997).
Redemption, October 01 - 1,811.1 mln tenge, notes-21 (#331/n,
KZ8SK0110996).
Redemption, October 01 - $3.7 mln, notes-21 (#8/$n, KZ8EK0110996).
Total volume of State Securities of Kazakhstan redemption for this week
reaches an amount of 4,608.1 mln tenge at exchange rate 138.00 tenge per
dollar.
Shown is the actual redemption volume, excluding securities converted into
AVMEKAM.