Issuance and repayment schedule for state securities of Kazakhstan for this week
30.11.99 00:00
/IRBIS, Nov.30, 99/ - From November 28 to December 5 on primary market
for government securities of Kazakhstan:
Securities of the Ministry of Finance
- Issuance, November 29 - $3 mln, MEKAVM-6 (#24/6В, KZ46L3005A03).
- Issuance, November 30 - 500 mln tenge, MEKKAM-3, (#251/3, KZ43L2902A02).
- Issuance, December 2 - 500 mln tenge, MEKKAM-3 (#252/3, KZ43L0303A01).
- Issuance, December 3 - 500 mln tenge, MEKKAM-6 (#111/6, KZ46L0206A06).
- Maturity, November 30 - $11.8 mln (#21/3B, KZ43L3011996).
- Maturity, November 30 - 750.0 mln tenge without inflation index and
coupon payment (#1/6i, KZ32L3011999).
- Maturity, December 2 - $0.528 mln (#8/6B, KZ46L0212996).
Securities of the National Bank
- Issuance, December 1 - 300 mln tenge, notes-49 (#353/n).
- Maturity, December 2 - 509.3 mln tenge (#/344/n, KZ96K0212993).
- Maturity, December 3 - $0.470 mln (#/15/$n, KZ95K0312993).
Total repayment volume of state securities of Kazakhstan at 138.00
tenge per dollar is estimated to be 3,023.1 mln tenge.