As of April 27, addition to Methodology for calculating yield of bonds and amounts of deals with bonds put into effect

27.04.22 16:39
/KASE, April 27, 2022/ – By a decision of the Management Board of Kazakhstan Stock Exchange (KASE) dated April 26, 2022, addition No. 3 (addendum) to KASE's internal document "Methodology for calculating the yield of bonds and amounts of deal with bonds" (Methodology) was approved, with effect from April 27, 2022. The addition defines the procedure for transferring trades in bonds from "dirty" prices to "clean" prices in case of the first successful trades on offering of bonds in KASE's trading system. The updated text of the Methodology will be published on KASE website in the near future at https://kase.kz/files/normative_base/bond_yield_eng.pdf [2022-04-27]