26.06.20, 16:38
/KASE, June 26, 2020/ – Kazakhstan Stock Exchange (KASE) in accordance with its internal document "Methodology for Determining Liquidity Indicators of Securities" (Methodology) composed lists of shares, depositary receipts and securities of investment funds (hereinafter – Securities lists) of the first, second and third classes of liquidity for July 2020 out of those admitted to circulation on KASE. The lists were approved by a decision of the Committee on Indices and Securities Valuation of June 25, 2020 and had been composed for the purpose of applying the regulations of KASE's internal documents to securities contained therein. Below is the list of securities of the first class of liquidity, effective from July 1 to July 31, 2020 (securities' titles are indicated in the descending order of their liquidity): 1) common shares GB00B0HZPV38 (KASE main market, "standard" category, GB_KZMS) of KAZ Minerals PLC; 2) common shares KZ000A0LE0S4 (KASE main market, "premium" category, HSBK) of Halyk Savings Bank of Kazakhstan; 3) common shares KZ1C00000876 (KASE main market, "premium" category, KCEL) of Kcell; 4) common shares KZ1C00000959 (KASE main market, "premium" category, KEGC) of KEGOC; 5) common shares KZ0009093241 (KASE main market, "premium" category, KZTK) of Kazakhtelecom; 6) common shares KZ1C00000744 (KASE main market, "premium" category, KZTO) of KazTransOil; 7) common shares KZ0007786572 (KASE main market, "standard" category, CCBN) of Bank CenterCredit; 8) ordinary shares GB00BGP6Q951 (KASE main market, "standard" category, GB_NTRM) of NOSTRUM OIL & GAS PLC; 9) common shares RU0007661625 (KASE main market, "standard" category, RU_GAZP) of Gazprom OJSC; 10) common shares RU0009029540 (KASE main market, "premium" category, RU_SBER) of Sberbank OJSC; 11) common shares RU000A0JP5V6 (KASE main market, "premium" category, RU_VTBR) of Bank VTB (OJSC); 12) common shares US0605051046 (KASE main market, "standard" category, US_BAC_) of Bank of America Corporation; 13) units US78468R6633 (sector "securities of investment funds", US_BIL_) of SPDR Bloomberg Barclays 1-3 Month T-Bill ETF, issued by the investment fund SPDR Series Trust (USA); 14) common shares KZ1C00001619 (KASE main market, "standard" category, KZAP) of National Atomic Company "Kazatomprom"; 15) common shares RU0009062285 (KASE main market, "standard" category, RU_AFLT) of "Aeroflot – Russian airlines" OJSC; 16) ordinary shares US3453708600 (KASE main market, category "standard", US_FORD) of Ford Motor Company; 17) ordinary shares US3563901046 (KASE alternative market, sector "shares", US_FRHC) of Freedom Holding Corp.; 18) shares IE00BG0C3K84 (IE_FXBF) of segregated sub-fund FinEx FFIN Kazakhstan Equity ETF, issued by the alternative investment fund FinEx Physically Backed Funds Plc. 19) units US78462F1030 (US_SPY_) of the exchange index fund SPDR S&P 500 ETF TRUST managed by State Street Global Advisors. Compared to the current list of securities of the first liquidity class, which was formed for June 2020, the list includes ordinary shares GB00BGP6Q951 (GB_NTRM), units US78468R6633 (US_BIL_), ordinary shares US3453708600 (US_FORD) and ordinary shares US3563901046 (US_FRHC); GDR US63253R2013 (KZAPd_USD) of National Atomic Company "Kazatomprom" were removed. The lists of securities of the first, second and third classes of liquidity for June 2020 are available on KASE website at https://kase.kz/files/normative_base/liquid_2020_july_eng.pdf The lists of securities of the first, second and third classes of liquidity for June 2020 are available on KASE website at https://kase.kz/files/normative_base/liquid_2020_june_eng.pdf The Methodology for Determining Liquidity Indicators of Securities is available at http://kase.kz/files/normative_base/metodika_liquid_eng.pdf [2020-06-26]