/KACC, August 5, 2024/ – Following a decision of the Management Board of
KASE Clearing Centre (KACC) dated July 24, 2024, changes No. 1 (changes) to
KACC's internal document "Methodology for determining risk parameters of
financial instruments" (Methodology) were approved. The effective date of the
changes will be announced later.
The changes were made in terms of determining the central rate of foreign
currencies for the euro, Russian ruble and Chinese yuan and establish the
following: the central rate for each foreign currency is determined based on the
use of prices of concluded transactions, settlements for which are carried out on
the next business day after the trading day.
The updated text of the Methodology will be published on KACC Internet
resource at the link
http://kacc.kase.kz/ru/clearing/
[2024-08-05]