Issue and repayment schedule for state securities of Kazakhstan for this week
10.07.00 00:00
/IRBIS, July 10, 00/ - From July 10 through 16, 2000 on primary market for
state securities of Kazakhstan:
Securities of the Ministry of Finance
- Issue, July 10 - KZT250 mln, MEKKAM-6 #152 (payment July 13, 00,
maturity Jan.11,01, incompetitive 50%).
- Issue, July 11 - KZT250 mln, MEOKAM-24 #12 (payment July 13, 00,
maturity July 11, 02, coupon payments - Jan.11,01; July 12,01;
Jan.10,02; July 11,02, incompetitive 50%).
- Maturity, July 13 - KZT577.2 mln (MEKKAM-3, #262, KZ43L1307A05).
- Maturity, July 14 - KZT154.3 mln (MEKKAM-6 #119, KZ46L1407A01).
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
- Issue, July 12 - KZT500 mln, notes-49 #413 (payment July 12,00,
maturity Aug.31,00, incompetitive 60%).
- Issue, July 13 - KZT500 mln, notes-63 #414 (payment July 14,00,
maturity Sep.15,00, incompetitive 60%).
- Maturity, July 13 - KZT1,343.3 mln (notes-42, #401, KZ96K0607A01;
notes-35, #403, KZ95K1307A03).
In this week total repayment volume of SS of Kazakhstan is estimated at
KZT2,074.8 mln.