Issuance and repayment schedule for state securities of Kazakhstan for this week

06.03.00 00:00
/IRBIS, March 6, 00/ - From March 6 to 12, 2000 on primary market for state securities of Kazakhstan: Securities of the Ministry of Finance - Issuance, March 6 - KZT500 mln, MEKKAM-6 #126 (KZ46L0709A08). - Issuance, March 7 - KZT500 mln, MEKKAM-12 #35 (KZ4CL0903A16). - Maturity, March 9 - KZT1,077.2 mln (MEKKAM-3 #253, KZ43L0903A05). - Maturity, March 10 - KZT984.2 mln (MEKKAM-3 #254, KZ43L1003A02). Securities of the National Bank - Issuance, March 7 - KZT300 mln, notes-42 #375. - Issuance, March 9 - KZT300 mln, notes-63 #376. - Issuance, March 10 - KZT300 mln, notes-79 #377. - Maturity, March 9 - KZT383.6 mln (notes-49, KZ97K0903A01). - Maturity, March 10 - KZT236.6 mln (notes-42, KZ96K1003A09). Total repayment volume of SS of Kazakhstan is estimated at KZT2,681.6 mln.