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

26.05.03 00:00
/IRBIS, May 26, 03/ - From May 26 through May 30, 2003 on the primary market of GS of Kazakhstan for the moment it is planned: By the Ministry of Finance: - Coupon payment, on May 29 - KZT23.8 m (МЕОКАМ-36 #14, KZ53L2711A34); - Coupon payment, on May 30 - KZT4.1 m (МЕОКАМ-24 #51, KZK2KY020511). By the National Bank: - Maturity, on May 27 - KZT3,226.2 m (notes-91 #778, KZW1KD917782); - Maturity, on May 30 - KZT6,484.0 m (notes-91 #777, KZW1KD917808); By domestic executive body of Atyrau oblast: - Additional floatation, on May 28 - KZT1,047 m., municipal indexed bonds of the fourth issue (KZЕ4KY050046, payment on May 29, 03, circulation since May 16, 03, maturity on May 13, 08, coupon payments: November 13, 03, May 14, 04, November 12, 04, May 14, 05, November 12, 05, May 14, 06, November 12, 06; May 14, 07; November 12, 07; May 13, 08; non- competitive 0%). National Bank will announce about holding of auctions on notes floatation later. Total volume of maturity and servicing of Kazakhstan GS from May 26 till May 30 is estimated by IRBIS at KZT9,738.1 m. [2003-05-26]