Issuance and repayment schedule for state securities of Kazakhstan for this week
30.05.00 00:00
/IRBIS, May 30, 00/ - From May 29 through June 4, 2000 on primary market
for state securities of Kazakhstan:
Securities of the Ministry of Finance
- Issuance, May 29 - KZT500 mln, MEKKAM-6 #147 (KZ46L3011A05,
payment June 1, 00, maturity Nov.30, 00, incompetitive 50%).
- Issuance, May 30 - KZT500 mln, MEKKAM-12 #50 (KZ4CL3105A15,
payment June 1, 00, maturity May 31, 01, incompetitive 50%).
- Maturity, May 30 -$5.5 mln (MEKAVM-6 #24, KZ46L3005A03).
- Maturity, June 2 - KZT896.6 mln (MEKKAM-6 #111, KZ46L0206A06).
The Ministry of finance does not exclude the possibility of holding other
offerings in the second half of the week that will be announced additionally.
Securities of the National Bank
- Issuance, May 31 - KZT400 mln, notes-42 #401 (payment June 1, 00,
maturity July 13, 00, incompetitive 60%).
- Issuance, June 1 - KZT400 mln, notes-56 #400 (payment June 2, 00,
maturity July 28, 00, incompetitive 60%).
- Maturity, June 2 - KZT1,675.9 mln (notes-49 #389 KZ97K0206A05;
notes-35 #393 KZ95K0206A07).
In this week total repayment volume of SS of Kazakhstan at current rate of
the National Bank is estimated at KZT3,355.9 mln.