Issue, maturity and servicing schedule for GS of Kazakhstan in this week
19.12.01 00:00
/IRBIS, Dec 19, 01/ - From December 17 through 23, 2001 on the primary
market of GS of Kazakhstan:
From the Ministry of Finance:
- Issue, December 20- KZT200m, МЕOКАМ-48 #15 (payment - Dec
21,01, circulation - Dec 22,01; maturity - Dec 20,05; coupon payments:
June 21,02, Dec 21,02, June 21,03, Dec 21,03, June 20,04, Dec 20,04,
June 20,05, Dec 20,05; noncompetitive - 50%);
- Maturity, December 20 - KZT172.8m (MEKKAM-12 #70, KZ4CL2012A19);
- Coupon payment, December 20 - KZT11.4m (МЕОКАМ-24 #10, KZ52L2006A21).
From the National Bank:
- Issue, December 19 - KZT500m, notes-77 #605 (payment Dec 20,01,
maturity March 7,02, noncompetitive 60%);
- Maturity, December 20 - KZT332.8m (notes-70 #579, KZW1KD705799).
From Akimat of Eastern Kazakhstan region:
- Coupon payment, December 18 - KZT34.0m at current official rate
(VKU036.001, KZ7051806A46);
Total repayment and servicing volume of Kazakhstan GS from December 17
through 23 is estimated by IRBIS at KZT551.0m.