Trades in new instruments open in KASE CS automatic repo market from August 11, 2015

11.08.15 11:41
/KASE, August 1, 15/ – Following a decision of Kazakhstan Stock Exchange (KASE) Management Board based on a KASE member's application, from August 11, 2015 trading in new instruments opens in KASE automatic repo market whereas the following bonds are allowed to be used as the repo transactions' subjects with terms of 1, 7, 14 and 30 days: - KZP04Y10C614 (KZ2C00001204, KASE official list, category "other debt securities", EUBNb7) of Eurasian Bank JSC (Almaty); - KZP01Y15D252 (KZ2C00001212, KASE official list, category "other debt securities", EUBNb8) of Eurasian Bank JSC (Almaty); - KZP02Y05E051 (KZ2C00001626, KASE official list, category "other debt securities", CSBNb11) of Kaspi Bank JSC (Almaty); - KZP07Y10B668 (KZ2C00002707, KASE official list, category "debt securities of entities from the quasi-state sector", MREKb8) of Mangistau Distribution Power Grid JSC (Aktau); - KZP01Y05E715 (KZ2C00002715, KASE official list, category "other debt securities", BVTBb2) of Subsidiary Organization JSC VTB Bank (Kazakhstan) (Almaty). The repo transactions have been assigned codes R_EUBNb7_001, R_EUBNb7_007, R_EUBNb7_014, R_EUBNb7_030, R_EUBNb8_001, R_EUBNb8_007, R_EUBNb8_014, R_EUBNb8_030, R_CSBNb11_001, R_CSBNb11_007, R_CSBNb11_014, R_CSBNb11_030, R_MREKb8_001, R_MREKb8_007, R_MREKb8_014, R_MREKb8_030, R_BVTBb2_001, R_BVTBb2_007, R_BVTBb2_014, R_BVTBb2_030 accordingly. [2015-08-11]