Issue and repayment schedule for government securities of Kazakhstan for this week

25.07.00 00:00
/IRBIS, July 25, 00/ - From July 24 through 30, 2000 on primary market for government securities of Kazakhstan: Securities of the Ministry of Finance - Issue, July 24 - KZT300 mln, MEKKAM-3 #269 (payment July 27, 00, maturity Oct. 26,00, incompetitive 50%). - Issue, July 25 - KZT300 mln, MEKKAM-12 #59 (payment July 27, 00, maturity July 26,01, incompetitive 50%). - Maturity, July 27 - KZT792.0 mln (MEKKAM-6, #121, KZ46L2707A06). - Maturity, July 28 - KZT3,456.9 mln (MEKKAM-3, #263, KZ43L2807A08; MEKAVM-6, #28/6, KZ46L2807A05). Securities of the National Bank - Issue, July 26 - KZT500 mln, notes-35 #417 (payment July 27,00, maturity Aug.31,00, incompetitive 60%). - Issue, July 27 - KZT500 mln, notes-63 #418 (payment July 28,00, maturity Sep.29,00, incompetitive 60%). - Maturity, July 28 - KZT1,211.5 mln (notes-56, #402, KZ98K2807A03). Securities of executive body of Mangistau region - Maturity, July 28 - KZT494.9 mln at current official rate (MGU012.001, KZ7B2807A05). In this week total repayment volume of domestic GS of Kazakhstan is estimated at KZT5,955.3 mln.