Schedule of events at corporate debt market of Kazakhstan from February 10 till February 16 of 2003

07.02.03 00:00
/IRBIS, February 7, 03/ - In the period from February 10 till February 16 of 2003 at Kazakhstan corporate debt market the following events will be held. February 10 actual payment date of Corporation Ordabasy OJSC (Almaty) of the first coupon on its indexed on tenge devaluation bonds of the first issue (KZ2CUY03A593; KASE official "A" listing category; ORDBb1; KZT1,000, KZT1,550.0 m; August 8, 02 - August 8, 05, semi-annual coupon 11.0% APR) is fixed. In case the whole debt is in circulation sum of the payment will be equivalent for USD552.7 th., at the current stock exchange's rate. Settlement date is the day off. February 11 register of bondholders of Kazakhtelecom (Almaty) of the first issue (KZ2CUY03A347; KASE official "A" listing category; KZTKb1; $100, $25.0 m; March 13, 01 - January 13, 04, semi-annual coupon 10.00% APR) is fixed. Register is fixed for the fourth coupon payment. It means that since February 11 till March 13 of 2003 the bonds will be quoted at Kazakhstan stock exchange (KASE) without accumulated interest. February 11 register of bondholders of UAT-KAMENOGORSK BATTERY FARM CJSC (Kazakhstan) of the first issue (KZ2CKY05A622; KASE official "B" listing category; UKPFb1; KZT10,000, KZT500.0 m; September 11, 02 - September 11, 07, semi-annual coupon 14.00% APR) is fixed. Register is fixed for the first coupon payment. It means that since February 11 till March 11 of 2003 the bonds will be quoted at Kazakhstan stock exchange (KASE) without accumulated interest. February 11 register of bondholders of TEMIRBANK OJSC (Almaty) of the second issue (KZ2CUY11A407; KASE official "A" listing category; TEBNb2; $100, $5.9 m; September 14, 01 - September 14, 08, semi-annual coupon 11.00% APR) is fixed. Register is fixed for the third coupon payment. It means that since February 14 till March 14 of 2003 the bonds will be quoted at Kazakhstan stock exchange (KASE) without accumulated interest. February 15 - settlement date of Development Bank of Kazakhstan CJSC (Astana) on the second coupon interest on its indexed on tenge devaluation bonds of the first issue (KZ2CKY05A473; KASE official "A" listing category; BRKZb1; KZT1,000, KZT4,500.0 m; February 15, 02 - February 15, 07; semi-annual coupon 8.5% APR). In case the whole debt is in circulation sum of the payment will be equivalent for USD1,258.6 th., at the current stock exchange's rate. On the reason February 15 of 2003 is the day off, interest is to be paid on February 17 of 2003. February 16 - settlement date of Joint bank LARIBA-BANK OJSC (Almaty) on the third coupon interest on its indexed on tenge devaluation bonds of the first issue (KZ2CUY03A396; KASE official "B" listing category; LARIb1; KZT156,000, KZT156.0 m; August 16, 01 - August 16, 05; semi-annual coupon 7.75% APR). In case the whole debt is in circulation sum of the payment will be equivalent for USD38.8 th., at the National Bank's rate, which will be in effect on the payment date. On the reason February 16 of 2003 is the day off, interest is to be paid on February 17 of 2003. [2003-02-07]