/KASE, January 25, 2019/ – Kazakhstan Stock Exchange (KASE) in accordance with
its internal document "Methodology of Securities Liquidity Indicators Defining"
(Methodology) composed lists of shares and depositary receipts of the first,
second and third classes of liquidity for February – March 2019 out of shares
admitted to circulation on KASE. The lists were approved by the January 23, 2019
decision of the Committee on Indices and Securities Valuation and had been composed
for the purpose of applying the regulations of KASE internal documents "Regulations
of Trades and the Confirmation System Operation" and "Procedure of inclusion of
financial instruments in the Lists of financial instruments of the stock market
transactions in which are cleared by the Exchange" to securities contained
therein.
Below is the list of shares and depositary receipts of the first class of
liquidity, effective from February 1 to March 31, 2019 (securities' titles are
indicated in the descending order of their liquidity):
1) common shares KZ1C00000744 (KASE main market, premium category,
KZTO) of KazTransOil;
2) common shares KZ000A0LE0S4 (KASE main market, premium category,
HSBK) of Halyk Savings Bank of Kazakhstan;
3) common shares KZ1C00000959 (KASE main market, premium category,
KEGC) of KEGOC;
4) common shares GB00B0HZPV38 (KASE main market, standard category,
GB_KZMS) of KAZ Minerals PLC;
5) common shares KZ0009093241 (KASE main market, premium category,
KZTK) of Kazakhtelecom;
6) common shares KZ0007786572 (KASE main market, standard category,
CCBN) of Bank CenterCredit;
7) common shares KZ1C00000876 (KASE main market, premium category,
KCEL) of Kcell;
8) common shares KZ1C00001015 (KASE alternative market, shares sector,
BAST) of BAST;
9) common shares US0605051046 (KASE main market, standard category,
US_BAC_) of Bank of America Corporation;
10) common shares RU0009029540 (KASE main market, premium category,
RU_SBER) of Sberbank;
11) common shares RU0007661625 (KASE main market, standard category,
RU_GAZP) of Gazprom;
12) common shares GB00BGP6Q951 (KASE main market, standard category,
GB_NTRM) of NOSTRUM OIL & GAS PLC;
13) common shares KZ1C00001619 (KASE main market, standard category,
KZAP) of National atomic company "Kazatomprom";
14) common shares RU0009062285 (KASE main market, standard category,
RU_AFLT) of Aeroflot - Russian airlines;
15) common shares RU000A0JP5V6 (KASE main market, premium category,
RU_VTBR) of Bank VTB OJSC;
16) preferred shares KZ0009094645 (KASE main market, premium category,
KZTKp) of Kazakhtelecom;
17) depositary receipts US63253R2013 (KASE mixed market, category "depositary
receipts", KZAPd_USD) of National atomic company "Kazatomprom";
Compared with the current list of shares and depositary receipts of the first
liquidity class which was composed for December 2018 – January 2019, said
list does not feature common shares KZ000A0RMTC3 (RDGZp) of KazMunaiGas
Exploration Production. The list was supplemented with common shares
KZ1C00001619 (KZAP) of National atomic company "Kazatomprom"; RU000A0JP5V6
(RU_VTBR) of Bank VTB OJSC and 17)depositary receipts US63253R2013 (KZAPd_USD)
of National atomic company "Kazatomprom".
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); trades in shares of the
second and third classes of liquidity are held on KASE on working days –
from 03:00 p.m. to 05:00 p.m. (Almaty time).
Trades in shares are held on KASE by the 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 %.
The lists of shares and depositary receipts of the first, second and third
classes of liquidity for February – March 2019 will be released on KASE website
at
http://kase.kz/files/normative_base/
The lists of shares and depositary receipts of the first, second and third
classes of liquidity for December 2018 – January 2019 are available on KASE
website at
https://kase.kz/files/normative_base/liquid_2018_dec_2019_jan_eng.pdf
The Regulations on Trades and Confirmation System Operation are available
at
http://kase.kz/files/normative_base/reglament_trade_eng.pdf
The Methodology of Securities Liquidity Indicator Defining is available at
http://kase.kz/files/normative_base/metodika_liquid_eng.pdf
The Procedure of inclusion of financial instruments in the Lists of financial
instruments of the stock market transactions in which are cleared by the
Exchange is available at
https://kase.kz/files/normative_base/order_instruments_eng.pdf
[2019-01-25]