The Ministry of Finance intends to float MEKKAM-9, MEOKAM-24, and MEKKAM-9 on Oct. 01,02 and 04

01.10.01 00:00
/IRBIS, Oct 01, 01/ - The Ministry of Finance intends to float MEKKAM-9, MEOKAM-24, and MEKKAM-9 on Oct. 01,02 and 04. Below are the floatation parameters of the emissions: -------------------------------------------------------------------------- Type of security МЕККАМ-9 МЕОКАМ-24 МЕККАМ-6 Trade code of KASE MKM009.002 MOM024.045 MKM006.0166 Face value, KZT 100.00 1,000.00 100.00 Auction date Oct 01, 01 Oct 02, 01 Oct 04, 01 Payment date Oct 02, 01 Oct 03, 01 Oct 05, 01 Circulation date Oct 03, 01 Oct 04, 01 Oct 06, 01 Maturity date (nominal / actual) July 03, 02 Oct 03, 03 Apr 05, 02 Circulation period, days 274 730 182 Coupon dates (nominal / actual) 1 - Apr 03, 02 - 2 - Oct 03, 02 - 3 - Apr 03, 03 - 4 - Oct 03, 03 - Announced volume of emissions, KZT m 400.0 400.0 200.0 -------------------------------------------------------------------------- Restriction on non-competitive applications - 50%. Interest rate is accrued according Actual/365 time basis. Redemption and servicing volume of domestic bonds of the Ministry of Finance on the current week (Oct.01-07) is KZT1,285.0m. Total redemption volume of all government securities is KZT1,695.5m.