/CORRECTED/ Complete results of placement of indexed notes-21 #13/$n
18.10.99 00:00
/IRBIS, Oct.18, 99, second delivery in connection with mistake in the volume
of placement/ - On October 15 the National Bank of held the next auction on
placement of indexed at devaluation notes. Announced volume of the issue
is determined by the emitter at $2 mln. Size of satisfaction of noncompetitive
applications is 60%.
The auction was held with additional placement carried out within the same day.
Following is the complete placement data and comparison with previous
similar tranche.
Type of the securities BNotes-21 BNotes-21
NSIN KZ8LK0511990 KZ8LK2910992
KASE trade code NTU021.013 NTU021.012
IRBIS registration number 13/$n 12/$n
Nominal value, tenge 100.00 100.00
Issuance date Oct. 15, 99 Oct. 8, 99
Circulation start date Oct. 15, 99 Oct. 8, 99
Maturity date Nov. 5, 99 Oct. 29, 99
Days in circulation 21 21
Demand, mln tenge 5.756 (+0.268)
Weighted average yield on
demand, % APR 7.84 (-0.87)
Planned volume, mln USD 2.0 (0)
Actual volume, mln USD 0.628 (- 3.086)
Cut-off price, % of nominal 99.58 (0)
Weighted average price,
% of nominal 99.58 (0)
Maximum yield, % APR 7.31 (0)
Weighted average yield, % APR 7.31 (0)
Effective weighted average yield,
% APR 7.57 (0)
Yield is given in currency terms.