KASE entered bonds of Development Bank of Kazakhstan OJSC into KASE_B* index series calculation list

15.04.02, 00:00
/KASE, Apr 15, 02/ - By the decision of the Board of Kazakhstan Stock Exchange (KASE), from April 15, 2002 first issue inscribed coupon bonds of Development Bank of Kazakhstan OJSC (KZ2CKY05A473, official list of KASE securities under category "A", BRKZb1; $1,000, $4,500.0m, Feb 15.02 - Feb 15.07, semiannual coupon at 8.5% APR) were admitted into the KASE_BC, KASE_BP and KASE_BY indexes calculation list. After this decision has been made, the calculation list of these indexes contains 22 bonds from the category "A" of the KASE official list: - second issue bonds of Almaty Kus OJSC (Almaty; KZ2CUY05A383; ALKSb2; issue volume - $20.0m); - first issue bonds of Astana-finance OJSC (Astana; KZ2CUY02A356; ASFIb1; $10.0m); - first issue bonds of Development Bank of Kazakhstan OJSC (Astana; KZ2CKY05A473; BRKZb1; $4,500.0m); - first issue bonds of Bank TuranAlem OJSC (Almaty; KZ2CUY08A320; BTASb1; $20.0m); - first issue euronotes of TuranAlem Finance B.V. (Rotterdam, Netherlands; XS0131688227; BTASe1; $100.0m); - first issue bonds of Bank CenterCredit OJSC (Almaty; KZ75KARGCA53; CCBNb1; $4.5m); - first issue bonds of Bank Caspian OJSC (Almaty; KZ2CUY03A370, CSBNb1; $15.0m); - first issue bonds of Halyk Bank of Kazakhstan OJSC (Almaty; KZA7KAKK6A78; HSBKb; $16.0m); - first issue bonds of Karazhanbasmunai OJSC (Aktau; KZ73BAQLBA36; KARMb1; $20.0m); - first issue euronotes of KAZKOMMERTSBANK OJSC (Almaty; XS0122349615; KKGBe2; $20.0m); - first issue bonds of DAGOK Kustanaiasbest OJSC (Jetykara comm., Kostanai region; KZ739AVI2A42; KZASb1; $6.0m); - first issue bonds of NOC Kazakhoil CJSC (Astana; KZ72LAG56A20; KZOLb; $25.0m); - first issue bonds of Kazakhtelecom (Astana; KZ2CUY03A347, KZTKb1; $25.0m); - first issue bonds of KazTransOil CJSC (Astana; KZ73LAONAA35; KZTOb; $30.0m); - first issue euronotes of KazTransOil CJSC (Astana; XS0132391938; KZTOe1; $150.0m); - first issue bonds of RG Brands LLP (Almaty; KZ72KAT51A39; RGBRb2; $4.0m); - first issue bonds of SHAHARMUNAIGAS OJSC (Almaty; KZ75KASICA50; SMGZb1; $30.0m); - first issue bonds of SHNOS OJSC (Shymkent; KZ2CUY03A339; SYRGb1; $25.0m); - first issue bonds of Temirbank OJSC (Almaty; KZ75KAMJ8A57; TEBNb; $5.0m); - second issue bonds of Temirbank OJSC (Almaty; KZ2CUY11A407; TEBNb2; $5.9m); - second issue bonds of Kazakhstan Temir Joly NSE (Astana; KZ2EUY03A368; TMJLb2; $30.0m); - first issue bonds of VALUT-TRANZIT BANK OJSC (Karagandy; KZ2CUY05A425, VTBNb1; $10.0m). KASE_BP - index of dirty (including accumulated interest) price of the bonds (% of face value) - weighted (through capitalization) average dirty price of corporate bonds of category "A" of KASE official list, which is calculated based on the deals or average bids of the market-makers (if there were no deals). KASE_BC - index of clean (including accumulated interest) price of the bonds (% of face value) - weighted (through capitalization) average clean price of corporate bonds of category "A" of KASE official list, which is calculated based on the deals or average bids of the market-makers (if there were no deals). KASE_BY - index of yields (% APR) of the bonds - weighted (through capitalization) average dirty price of corporate bonds of category "A" of KASE official list, which is calculated based on the deals or average bids of the market-makers (if there were no deals). [2002-04-15]