/KASE, December 3, 15, November 24, 15 news repetition/ – Kazakhstan Stock
Exchange (KASE) in accordance with its internal document "Methodology of
Securities Liquidity Indicators Defining" (Methodology) composed lists of shares
of the first, second and third classes of liquidity for December 2015 –
January 2016 out of shares admitted to circulation on KASE. The lists were
approved by November 23, 2015 decision of the Committee on Indices and Securities
Valuation and had been composed for the purpose of applying of regulations of
KASE internal documents "Regulations of Trades and the Confirmation System
Operation" and "Regulations on Market-Makers" to shares contained therein.
Below is the list of shares of the first class of liquidity, effective from
December 1, 2015 to January 31, 2016 (securities titles are indicated in the
descending order of their liquidity):
1) common shares KZ1C34930012 (KZ1C00000959, KASE official list, first category,
KEGC) of Kazakhstan Electricity Grid Operating Company "KEGOC" (Astana);
2) common shares KZ1C29950017 (KZ1C00000744, KASE official list, first category,
KZTO) of KazTransOil;
3) common shares GB00B0HZPV38 (KASE official list, second category, GB_KZMS) of
KAZ Minerals PLC;
4) preferred shares KZ1P51460114 (KZ000A0RMTC3, KASE official list, first
category, RDGZp) of KazMunaiGas Exploration Production;
5) common shares KZ1C33870011 (KZ000A0LE0S4, KASE official list, first category,
HSBK) of Halyk Savings Bank of Kazakhstan;
6) common shares KZ1C12280018 (KZ0009093241, KASE official list, first category,
KZTK) of Kazakhtelecom;
7) common shares KZ1C51460018 (KZ000A0KEZQ2, KASE official list, first category,
RDGZ) of KazMunaiGas Exploration Production;
8) common shares US0605051046 (KASE official list, second category, US_BAC_) of
Bank of America Corporation;
9) common shares KZ1C59680013 (KZ1C00001015, KASE official list, second category,
BAST) of BAST;
10) common shares KZ1C59150017 (KZ1C00000876, KASE official list, first category,
KCEL) of Kcell;
11) common shares KZ1C36280010 (KZ0007786572, KASE official list, first category,
CCBN) of Bank CenterCredit;
12) common shares KZ1C00400016 (KZ000A0JC858, KASE official list, second
category, KKGB) of Kazkommertsbank;
13) preferred shares KZ1P00400112 (KZ0005416453, KASE official list, second
category, KKGBp) of Kazkommertsbank;
Compared with the current list of shares of the first liquidity class which was
composed for October–November 2015, the list of shares of the first liquidity
class for December 2015 – January 2016 no longer includes preferred shares
KZ1P12280114 (KZ0009094645, KASE official list, first category, KZTK) of
Kazakhtelecom.
Trades in shares of the first class of liquidity are held on KASE on working
days – from 11:30 a.m. to 05:00 p.m. (Almaty time) by method of uninterrupted
counter-directed auction (whereas the so-called Frankfurt trading method is
used) and are switched to standby-mode in case of matching or crossing of bids
and asks, if the price of a proposed deal deviates from the last transaction
price of such shares by 5 %. For market-makers for the first liquidity class
shares the maximum values of spreads between the best mandatory quotations for
securities are set at 4 %.
Trades in shares of the second and third classes of liquidity are held at KASE
on working days – from 03:00 p.m. to 05:00 p.m. (Almaty time) by the method of
uninterrupted counter-directed auction and are switched to standby-mode in case
of matching or crossing of bids and asks, if the price of a proposed deal
deviates from the last transaction price of such shares by 5 %. For market-makers
of illiquid shares of the second and third classes of liquidity in accordance
with the Regulations on Market-Makers the maximum values of spreads between the
best mandatory quotations for securities are set at 5 %.
The lists of shares of the first, second and third classes of liquidity for
December 2015 – January 2016 are available on KASE website at
http://www.kase.kz/files/normative_base/liquid_2015_dec_2016_jan_eng.pdf
The lists of shares of the first, second and third classes of liquidity for
October–November 2015 are available on KASE website at
http://www.kase.kz/files/normative_base/liquid_2015_oct_nov_eng.pdf
Regulations of Trades and Confirmation System Operation are available at –
http://www.kase.kz/files/normative_base/reglament_trade_eng.pdf
Regulations on Market-Makers are available at –
http://www.kase.kz/files/normative_base/m_maker_eng.pdf
Methodology of Securities Liquidity Indicator Defining is available at –
http://www.kase.kz/files/normative_base/metodika_liquid_eng.pdf
[2015-12-03]