SS purchase and sale at KASE - KZT573.2 mln

15.03.00 00:00
/IRBIS, March 15, 00/ - Results of the next trades in domestic State Securities 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 2 12.75 5.46 14.57 8.5 KZT 8 10.49 10.03 99.8 KZT 9 9.73 KZT 23 12.44 49.6 KZT 29 12.55 12.29 13.06 34.7 KZT 79 15.43 14.79 15.72 120.0 KZT 90 15.58 15.45 15.71 62.6 KZT 134 15.87 16.57 103.9 KZT 282 17.35 -------- --------- ---------- ------- ------- ----------- USD 71 7.02 10.04 USD 135 10.01 12.50 USD 285 10.00 12.51 USD 1463 *11.09 *11.09 *11.45 94.2 -------- --------- ---------- ------- ------- ----------- TOTAL 573.2 * 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). IRBIS remains that since March 15, 2000 IRBIS and KASE have changed algorithm of the yield of coupon bonds calculation at the trades results processing.