Sums of the received contributions by Kazakhstani APF on July 01, 2001 since the beginning of activity and monthly dynamic during first six months

10.08.01 00:00
/IRBIS, Aug 10, 01/ - IRBIS agency continues data publication of information provided by the Accumulative Pension Funds Regulatory Committee of the Ministry of Labour and Social Protection of Kazakhstan (Committee). The following table contains values for sums received by Kazakhstani accumulative pension funds (APF) from the beginning of each fund's activity, on July 01, 2001. The information was presented in KZT M. ------------------------------------------------------------------------------- Contributions --------------------------- Recei Fines, The Com- Net ved penal- date Name Sum of miss. pension from ties, Net of of contri- inte- contri- other & for- pension activity APF butions rest butions funds feits TOTAL assets start. ------ --------- ------- --------- -------- ------ --------- --------- -------- Umit 7,256.2 72.6 7,183.7 3,388.5 15.0 10,587.2 12,570.3 13.03.98 VTF 1,557.5 15.6 1,542.0 1,004.7 0.2 2,546.9 2,793.4 20.03.98 Kunaev 318.0 3.2 314.8 91.0 1.0 406.8 433.4 24.03.98 APF 1,390.4 13.9 1,376.5 527.8 0.5 1,904.8 2,125.4 22.03.98 Kaz 2,244.6 22.4 2,222.2 653.6 3.5 2,879.3 3,621.4 28.04.98 NBK 19,102.9 190.8 18,912.1 5,526.7 20.5 24,459.4 29,852.2 24.02.98 KazMys 3,828.1 38.3 3,789.8 85.8 0.0 3,875.6 5,414.1 19.04.98 Ular 6,987.4 69.8 6,917.6 2,783.6 5.6 9,706.8 11,713.8 20.04.98 NGD 1,690.9 16.9 1,674.0 916.6 0.2 2,590.8 3,071.7 07.06.98 Kurmet 2,615.5 26.2 2,589.4 1,961.9 6.5 4,557.8 4,904.3 01.01.99 ААCMG 3,903.9 39.0 3,864.9 4,517.2 26.1 8,408.2 9,091.6 03.03.99 SENYM 3,910.4 39.1 3,871.3 2,550.3 1.5 6,423.0 7,152.5 20.07.99 Korgau 829.1 8.3 820.8 546.0 0.001 1,366.8 1,449.3 01.12.99 PhMK 13.5 0.136 13.4 168.2 0 181.6 183.2 07.04.01 ------ --------- ------- --------- -------- ------ --------- --------- -------- TOTAL 55,648.6 556.2 55,092.4 24,722.0 80.6 79,895.0 94,376.7 ------ --------- ------- --------- -------- ------ --------- --------- -------- SAPF 53,057.1 530.6 52,526.6 151.4 39.2 52,717.2 49,858.1 15.01.98 ------ --------- ------- --------- -------- ------ --------- --------- -------- TOTAL 108,705.8 1,086.8 107,619.0 24,873.4 119.8 132,612.2 144,234.8 ------------------------------------------------------------------------------- The following table contains the monthly dynamic of contributions receiving for each fund, in this year (corresponds to the paragraph "Sum Contributions" in previous table, only for 2001), expressed in KZT M. ---------------------------------------------------------------- APF Jan Feb March Apr May June 2001 ------- ------- ------- ------- ------- ------- ------- -------- Umit 336.0 231.2 500.1 401.2 388.2 399.5 2,256.2 VTF 64.5 38.4 148.0 89.3 94.9 121.5 556.6 Kunaev 7.7 5.6 13.3 8.8 8.4 10.3 54.1 APF 46.1 41.3 80.9 50.8 55.1 65.0 339.0 Kaz 88.6 18.1 164.9 113.2 104.7 100.2 589.7 NBK 696.7 530.7 1,427.7 966.1 1,049.4 1,071.3 5,741.8 KazMys 111.8 125.1 142.8 125.6 127.3 138.2 770.8 Ular 274.0 197.4 443.8 319.3 301.2 405.9 1,941.5 NGD 78.7 48.1 122.8 92.0 92.5 89.7 523.9 Kurmet 169.0 102.7 249.6 202.8 193.3 198.2 1,115.6 ААCMG 370.8 228.6 407.9 225.5 273.6 458.7 1,965.1 SENYM 212.0 151.2 258.8 200.6 235.2 254.0 1,311.7 Korgau 37.8 29.1 79.5 47.3 34.3 161.2 389.2 PhMK - - - 2.0 4.9 6.6 13.5 ------- ------- ------- ------- ------- ------- ------- -------- TOTAL 2,493.7 1,747.5 4,040.1 2,844.3 2,963.1 3,480.1 17,568.9 ------- ------- ------- ------- ------- ------- ------- -------- SAPF 1,225.8 689.2 1,804.8 1,160.5 1,148.7 1,475.9 7,505.0 ------- ------- ------- ------- ------- ------- ------- -------- TOTAL 3,719.5 2,436.8 5,845.0 4,004.9 4,111.8 4,956.0 25,073.9 ---------------------------------------------------------------- The following table contains the dynamic of transfer sums, received in each fund from other funds, this year (corresponds to the paragraph of first table "Received from other funds", only for 2001), expressed in KZT M. --------------------------------------------------------- APF Jan Feb March Apr May June 2001 ------- ------- ----- ------ ------ ------- ----- ------- Umit 120.9 81.9 139.5 166.5 145.8 100.1 754.7 VTF 48.4 71.1 71.6 80.7 86.7 36.7 395.2 Kunaev 3.873 4.316 0.140 4.766 0.058 0.049 13.2 APF 18.1 9.7 23.1 19.2 20.8 18.9 110.0 Kaz 33.2 36.8 33.1 58.7 22.8 19.7 204.4 NBK 162.5 133.3 230.9 286.4 267.1 212.9 1,293.2 KazMys 21.121 1.062 5.443 0.974 3.945 1.885 34.4 Ular 66.5 69.5 78.4 40.9 119.8 36.9 412.0 NGD 29.3 24.5 26.1 29.8 8.640 8.611 126.9 Kurmet 179.6 32.1 123.9 68.4 76.2 47.3 527.5 ААCMG 2,420.9 66.3 54.2 61.9 59.4 33.9 2,696.7 SENYM 73.8 21.4 31.1 61.0 82.8 18.5 288.6 Korgau 66.9 40.0 50.2 47.4 21.5 9.567 235.6 PhMK - - - - 165.2 3.015 168.2 ------- ------- ----- ------ ------ ------- ----- ------- TOTAL 3,245.1 592.1 867.6 926.8 1,080.9 548.0 7,260.4 ------- ------- ----- ------ ------ ------- ----- ------- SAPF 5.263 7.839 13.258 14.203 19.586 6.176 66.3 ------- ------- ----- ------ ------ ------- ----- ------- TOTAL 3,250.3 599.9 880.9 941.0 1,100.4 554.2 7,326.7 --------------------------------------------------------- For the simplicity the following abbreviations and symbols wee used in the table: Umit - Umit APF CJSC; VTF - Valut-transit fund NAPF CJSC; Kunaev - NAPF CJSC named after Kunaev. D.A.; NPF - National Pension Fund ONPF CJSC; Kaz - Kazakhstan NAPF CJSC; HBК - Halyk Bank of Kazakhstan APF CJSC; КazMys - Kazakhmys APF CJSC; Ular - Ular NAPF CJSC; NGD - NefteGasDem NAPF CJSC; Кurmet - Kurmet APF CJSC; ААCMG - ABN AMRO CaspiyMunayGas APF, CJSC; Senym - SENYM NAPF CJSC; Korgau - Korgau APF CJSC"; PhMK - Philip Morris Kazakhstan KAPF CJSC; SAPF - State Accumulative Pension Fund CJSC; "-" - this fund was out of operation. The information was published as the important one for all participants of pension reform of Kazakhstan IRBIS agency pays the attention on the following: presented information had not been checked by the agency and were published according to the information of Committee.