Schedule of events at corporate debt market of Kazakhstan from October 21 30 to October 27 of 2002

18.10.02 00:00
/IRBIS, October 18, 02/ - In the period from October 21 till October 27 of 2002 at Kazakhstan corporate debt market the following events will be held. October 21 register of holders of indexed coupon bonds of Halyk Bank of Kazakhstan OJSC (Almaty) of the second issue (KZ2CKY05A556; KASE official "А" listing category; HSBKb2; KZT1,000, KZT2,042.0m; May 21, 02 - May 21, 07, semi-annual coupon 8.0% APR). The register is fixed for the first coupon payment. This means that since October 21 till November 21 of 2002 the bonds will be quoted at KASE without accumulated interest. October 23 register of holders of euronotes of Kazkommerts International B.V. (Rotterdam, The Kingdom of Netherlands) with redemption in 2007 (XS0146008171; KASE official "А" listing category; KKGBe3; $150.0m; May 8, 02 - May 8, 07, semi-annual coupon 10.125% APR). The register is fixed for the first coupon payment. Nevertheless, since October 23 till November 8 of 2002 the bonds will be quoted at KASE taking into account accumulated interest that fits with the existing system of depositary registering of these securities. October 23 KazTransOil CJSC (Astana) is to pay the fourth coupon on its internal bonds of the first issue (KZ73LAONAA35; KASE official "А" listing category, KZTOb; $100, $30.0m; October 23, 00 - October 23, 03, semi- annual coupon 9.0%APR). In case all bonds are in circulation amount of payment will equal to USD1,350 th. at the rate of exchange of the National Bank of Kazakhstan. [2002-10-18]