State Securities purchase and sale at KASE - 6,7 million tenges
13.03.00 00:00
/IRBIS, March 13, 00/ - Results of the next trades in domestic SS at
Kazakhstan stock exchange including closing quotations:
Annual yield to maturity, %
Till ---------------------------
In maturity, Average best best Volume,
currency days for deals offer bid million KZT
-------- --------- ---------- ------- ------- -----------
KZT 10 10.95 12.78
KZT 32 12.77
KZT 67 14.04
KZT 81 15.10
KZT 92 15.20 15.42
KZT 136 16.48
KZT 284 17.20
-------- --------- ---------- ------- ------- -----------
USD* 137 14.10 0.5
USD 333 9.35 6.1
USD 1465 **11.30 **11.69
-------- --------- ---------- ------- ------- -----------
TOTAL 6.7
* MGU - obligations of the local executive body of Mangistau oblast
** AVMEKAM, full yield to maturity calculated at weighted average rate of
the Exchange for current day.
Yields, shown for securities denominated in USD, are calculated by IRBIS at
the official rate on the transaction date (KZT141.30 per dollar).
For all coupon SS, which are traded at KASE, from February 14, 2000
data on the deals are processed by using the time basis of 360/30.
Previously, deals in AVMEKAM were processed using the actual time basis.