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

21.07.03 00:00
/IRBIS, July 21, 03/ - From July 21 till July 25, 2003 on the primary market of GS of Kazakhstan at the moment it is planned: By the Ministry of Finance: - Floatation, on July 21 - KZT2,300.0 m, MEOKAM-60 #12 (payment - July 22, 03, circulating since July 23, 03, redemption - July 20, 08; coupon payments: Jan 20, 04, July 21, 04, Jan 19, 05, July 21, 05, Jan 19, 06, July 21, 06, Jan 19, 07, July 21, 07, Jan 19, 08, July 20, 08, non- competitive 30%); - Actual coupon payment date, on July 21 - KZT2.7 m (МЕОКАМ-36 #4, KZ55L1807A62 settlement date coincides with July 18 - day off); - Coupons payment, on July 23 - KZT15.7 m (МЕОКАМ-60 #09, KZK2KY050096; МЕОКАМ-48 #17, KZK2KY040170); - Coupon payment, on July 25 - KZT8.8 m (МЕОКАМ-36 #21, KZ53L2301A48). By the National Bank: - Maturity, on July 24 - KZT13,797.2 m (notes-77 #806, KZW1KD778069; notes-91 #801, KZW1KD918012). National Bank will announce about holding of auctions on notes floatation later. Total volume of maturity and servicing of Kazakhstan GS from July 21 till July 25 is estimated by IRBIS at KZT13,824.4 m. [2003-07-21]