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

12.06.00 00:00
/IRBIS, June 12, 00/ - From June 12 through 18, 2000 on primary market for state securities of Kazakhstan: Securities of the Ministry of Finance - Issuance, June 12 - KZT400 mln, MEKKAM-12 #53 (KZ4CL1406A12, payment June 15, 00, maturity June 14, 01, incompetitive 50%). - Issuance, June 13 - KZT400 mln, MEOKAM-24 #09 (KZ52L1306A20, payment June 15, 00, maturity June 13, 02, coupon payments: Dec.14, 00; June 14, 01; Dec.13, 01; June 13, 02, incompetitive 50%). - Maturity, June 13 - KZT683.0 mln (MEKKAM-6 #113, KZ46L1306A03); - Maturity, June 16 - KZT418.9 mln (MEKKAM-3 #261, KZ43L1606A03). Securities of the National Bank - Issuance, June 14 - KZT400 mln, notes-35 #405 (payment June 15, 00, maturity July 20, 00, incompetitive 60%). - Issuance, June 15 - KZT400 mln, notes-56 #406 (payment June 16, 00, maturity Aug.11, 00, incompetitive 60%). - Maturity, June 15 - KZT298.9 mln (notes-49 #392, KZ97K1506A00); - Maturity, June 16 - KZT1,412.9 mln (notes-56 #391, KZ98K1606A08; notes-42 #394, KZ96K1606A00). In this week total repayment volume of SS of Kazakhstan at current rate of the National Bank is estimated at KZT2,813.8 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.