Issuance and repayment schedule for state securities of Kazakhstan for this week
05.06.00 00:00
/IRBIS, June 5, 00/ - From June 5 through 11, 2000 on primary market for
state securities of Kazakhstan:
Securities of the Ministry of Finance
- Issuance, June 5 - KZT400 mln, MEKKAM-12 #51 (KZ52L0606A29,
payment June 8, 00, maturity June 7, 01, incompetitive 50%).
- Issuance, June 6 - KZT400 mln, MEOKAM-24 #08 (KZ52L0606A29,
payment June 8, 00, maturity June 6, 06, coupon payments: Dec.7, 00;
June 7, 01; Dec.6, 01; June 6, 02, incompetitive 50%).
- Coupon payment, June 7 - KZT1.1 mln, taking into account the inflation
in March, April, May (MEIKAM-9 #1i, KZ33L3011A00).
- Maturity, June 8 - $2.6 mln (MEKAVM-6 #25, KZ46L0806A00).
Securities of the National Bank
- Issuance, June 7 - KZT400 mln, notes-35 #403 (payment June 8, 00,
maturity July 13, 00, incompetitive 60%).
- Issuance, June 8 - KZT400 mln, notes-56 #404 (payment June 9, 00,
maturity July 4, 00, incompetitive 60%).
None of the National Bank's notes mature in this week.
In this week total repayment volume of SS of Kazakhstan at current rate of
the National Bank is estimated at KZT393.8 mln.
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.