From November 12, additions to Methodology for calculating yield of bonds and amounts of deals with bonds put into effect

12.11.21 17:58
/KASE, 12.11.21/ – By a decision of the Management Board of Kazakhstan Stock Exchange (KASE) dated November 11, 2021, additions No. 2 (additions) to KASE's internal document "Methodology for calculating the yield of bonds and amounts of deals with bonds" (Methodology) were approved, with effect from November 12, 2021. The additions define the procedure for calculating the yield for coupon bonds with a floating interest rate, indexed to the rate of the repo transactions market indicator TONIA. The updated text of the Methodology will be soon published on KASE website at https://kase.kz/files/normative_base/bond_yield_eng.pdf [2021-11-12]