Schedule of events at corporate debt market of Kazakhstan from July 14 till July 20 of 2003

11.07.03 00:00
/IRBIS, July 11, 03/ - In the period from July 14 till July 20 of 2003 at Kazakhstan corporate debt market the following events will be held. July 14 actual payment date of BANK CASPIAN OJSC (Almaty) of the fourth coupon on bonds of the first issue (KZ2CUY03A370; "A" category official securities list at KASE, CSBNb1; $100, $15.0 m; July 13, 01 - July 13, 04, semiannual coupon at 9.5% APR). In case all bonds are in circulation sum of the payment will be equal to USD712.5 th at the rate of the National bank on the date of payment. July 15 AtMMG OJSC (Atyrau) pays the fifth coupon interest on bonds of the first issue (KZ2C4AUC1A24; KASE's official "B" listing category, AMGGb1; $100; $1.0 m; Jan 15, 01 - Jan 15, 03; semiannual coupon at 8.0% APR). In case all bonds are in circulation sum of the payment will be equivalent in tenge of USD40.0 th., at the rate of the National Bank of Kazakhstan, which is in effect on the day, which precedes maturity date. July 15 register of holders of indexed on tenge devaluation bonds of Development Bank of Kazakhstan CJSC (Astana) of the first issue (KZ2CKY05A473; KASE's official "A" listing category, BRKZb1; 1,000 tenge, 4.500 m tenge; Feb 15, 02 - Feb 15, 07, semiannual coupon at 8.5% APR) is fixed. Register is fixed for the third coupon payment. Since July 15 till August 15 of 2003 the bonds will be quoted at KASE without accumulated interest. July 16 register of holders of indexed to tenge devaluation bonds of Joint bank LARIBA-BANK OJSC (Almaty) of the first issue (KZ2CUY03A396; KASE's official "A" listing category, LARIb1; KZT1,000, KZT156.0 m; Aug 16, 01 - Aug 16, 04; semiannual coupon at 7.75% APR) is fixed. Register is fixed for the seventh coupon payment. Since July 21 till August 19 of 2003 the bonds will be quoted at KASE without accumulated interest. July 18 Almaty Kus OJSC (Almaty) pays the fourth coupon interest on bonds of the second issue (KZ2CUY05A383; KASE's official "A" listing category, ALKSb2; $100, $20.0 m; Jul 18, 01 - Jul 18, 06; semiannual coupon at 10.0% APR). In case all bonds are in circulation sum of the payment will be equivalent in tenge of USD1.0 m., at the rate of the National Bank of Kazakhstan on the date of payment. July 19 register of holders of bonds of Bank TuranAlem OJSC (Almaty) of the first issue (KZ2CUY08A320; KASE's official "A" listing category, BTASb1; $100; $20 m; Feb 19, 01 - Feb 19, 09, semiannual coupon at 12.0% APR) is fixed. Register is fixed for the fifth coupon payment. Since July 21 till August 19 of 2003 the bonds will be quoted at KASE without accumulated interest. July 19 register of holders of bonds of DAGOC Kustanayasbest OJSC (Kostanay oblast) of the first issue (KZ739AVI2A42; KASE's official "A" listing category, KZASb1; $100, $6.0 m; Feb 19, 01 - Feb 19, 04; semiannual coupon at 12.0% APR) is fixed. Register is fixed for the fifth coupon payment. Since July 21 till August 19 of 2003 the bonds will be quoted at KASE without accumulated interest. July 20 register of holders of bonds of Temirbank OJSC (Almaty) of the first issue (KZ75KAMJ8A57; KASE's official "A" listing category, TEBNb; $100; $5.0 m; Aug 19, 00 - Aug 19, 05; semiannual coupon at 10.5% APR) is fixed. Register is fixed for the seventh coupon payment. Since July 21 till August 19 of 2003 the bonds will be quoted at KASE without accumulated interest. [2003-07-11]