Issuance and repayment schedule for government securities of Kazakhstan for this week
23.11.99 00:00
/IRBIS, Nov.23, 99/ - From November 22 to 28 on primary market for
government securities of Kazakhstan:
Securities of the Ministry of Finance
- Issuance, November 22 - $3 mln, MEKAVM-6 (#23/6В, KZ46L2505A00).
- Issuance, November 23 - $2 mln, MEKAVM-9, circulation is 273 days
(#1/9В, KZ49L2408A05).
- Issuance, November 25 - 500 mln tenge, MEKKAM-3 (#250/3,
KZ43L2502A06).
- Issuance, November 26 - 400 mln tenge, MEIKAM-6 (#2/6i,
KZ32L3105A08).
- Maturity, November 24 - 290.5 mln tenge (#238/3, KZ43L2411999).
- Maturity, November 25 - 300.0 mln tenge without inflation index and
coupon payment (#3/3i, KZ31L3011991).
- Maturity, November 25 - $24.3 mln (#7/6B, KZ46L2511999; #20/3B,
KZ43L2511996).
Securities of the National Bank
- Issuance, November 24 - 300 mln tenge, notes-49 (#352/n).
- Maturity, November 25 - 458.7 mln tenge (#/346/n, KZ8SK2511993).
- Maturity, November 26 - $5.0 (#/16/n, KZ8LK2611996).
Total repayment volume of government securities of Kazakhstan at
139.00 tenge per dollar is estimated to be 5,128.5 mln tenge.