Issue, maturity and servicing schedule for GS of Kazakhstan in this week

22.10.02 00:00
/IRBIS, October 22, 02/ - From October 21 through October 27, 2002 on the primary market of GS of Kazakhstan for the moment it is planned: By the Ministry of Finance: - Floatation, on October 21 - KZT1.500m МЕОКАМ-60 #10, (payment - October 22, 02, circulation since October 23, 02, maturity - October 21, 07; coupon payments: April 22, 03, October 22, 03, April 21, 04, October 21, 04, April 21, 05, October 21, 05, April 21, 06, October 21, 06, April 21, 07, October 21, 07, noncompetitive 30%, floatation took place - KZK2KY050104); - Coupons payments, on October 24 - KZT98.9m (МЕОКАМ-48 #11, KZK2KY040113; МЕОКАМ-36 #9, KZ53L2310A39; МЕОКАМ-24 #21, KZ52L2410A21); - Maturity, on October 24 - KZT399.9m (МЕОКАМ-24 #21, KZ52L2410A21); - Coupon payment, on October 26 - KZT18.0m (МЕОКАМ-36 #36, KZ53L2604A42). By the National Bank: - Floatation, on October 23 - KZT500m notes-91 #726 (payment Oct 23, 02, circulation from Oct 23, 02, maturity on Jan 22, 03, noncompetitive 50%); - Maturity, on October 23 - KZT1,700.3m (notes-84 #695, KZW1KD846957); - Maturity, on October 24 - KZT1,725.1m (notes-35 #711, KZW1KD357112). Total volume of maturity and servicing of Kazakhstan GS from October 21 till October 27 is estimated by IRBIS at KZT3,942.2m. [2002-10-22]