Issuance and redemption schedule for state securities of Kazakhstan for this week
26.10.99 00:00
/IRBIS, Oct.26, 99/ - From October 25 to October 31 on primary market for
state securities of Kazakhstan:
Securities of the Ministry of Finance
- Issuance, October 26 - $3 mln, MEKAVM-6 (#19/6В, KZ46L2704A09).
- Issuance, October 28 - 300 mln tenge, MEIKAM-3 (#5/3i,
KZ31L3101A03).
- Maturity, October 27 - 210 mln tenge, (#234/3, KZ43L2710994).
- Maturity, October 28 - $23.8 mln, (#3/6B, KZ46L2810995; #16/3B,
KZ43L2810992).
- Maturity, October 29 - 959.3 mln tenge, without taking into account
inflation index and coupon payment (#2/3i, KZ31L2910995).
Securities of the National Bank
- Issuance, October 27 - 200 mln tenge, notes-28 (#346/n).
- Issuance, October 29 - $2 mln, currency notes-35 (#15/$n).
- Maturity, October 29 - $3.7 mln, (#12/$n, KZ8LK2910992).
Total redemption volume of state securities of Kazakhstan at 141.00
tenge per dollar is estimated to be 5,049.3 mln tenge.