This week Issue and repayment schedule for GS

31.07.00 00:00
/IRBIS, July 31, 00/ - From July 31 through August 06, 2000 on primary market for government securities of Kazakhstan: Securities of the Ministry of Finance - Issue, July 31 - KZT250 mln, MEKKAM-6 #154 (payment Aug.03, 00; redemption Feb.01, 2001; volume of noncompetitive applications - 50%). - Issue, Aug. 1 - KZT250 mln, MEOKAM-24 #14 (payment Aug.3, 00; redemption Aug.1, 2002; coupon payments - Feb. 01, Aug.2, 2001, Jan.31, Aug.1, 2002, volume of noncompetitive applications - 50%). - Redemption, Aug. 3, - KZT391.9 mln (MEKKAM-6, #122, KZ46L0308A03). Securities of the National Bank - Issue, Aug. 2 - KZT500 mln, notes-49 #419 (payment Aug.3, 00, redemption Sep.21, 00, noncompetitive 60%). - Issue, Aug. 3 - KZT500 mln, notes-63 #420 (payment Aug.4, 00; redemption Oct.6,00, noncompetitive 60%). - Maturity, Aug. 3 - KZT544.7 mln (notes-42 #407, KZ96K0308A00). - Maturity, Aug. 4 - KZT619.2 mln (notes-56, #404, KZ98K0408A00). In this week total repayment volume of domestic GS of Kazakhstan is estimated at KZT1,555.8 mln.