KASE included bonds of PetroKazakhstan Finance B.V. of the first issue in representative list for calculation of KASE_B* series stock exchange indices
09.04.04 21:55
/KASE, April 9, 04/ - By the decision of Kazakhstan stock exchange's
(KASE) Board beginning on April 1 of 2004 KASE_BC, KASE_BP and
KASE_BY indices include indexed on tenge devaluation rate bonds of
PetroKazakhstan B.V. (Rotterdam, the Netherlands) of the first issue
(XS0162680382; KASE's official "А" listing category, trade code - PKKRe1;
USD125.0 m, Feb 12, 03 - Feb 12, 10; semi-annual coupon 9.625% APR).
As the result 40 bonds of listed under official "A" category of KASE
currently comprise representative list used for a calculation of indices:
bonds of Alfa-Bank DB OJSC (Almaty) of the first issue
(KZ2CKY06A497, ALBNb1; issue volume - KZT1,500.0m);
bonds of Almaty Kus OJSC(Almaty) of the second issue
(KZ2CUY05A383, ALKSb2; issue volume - $20.0m., indexation by devaluation);
bonds of Alliance Bank OJSC (Almaty) of the first issue
(KZ2CKY07A701, ASBNb1; issue volume - KZT3.0 bn., indexation by devaluation);
bonds of Alliance Bank OJSC (Almaty) of the second issue
(KZ2CKY03A924, ASBNb2; issue volume - KZT2.0 bn., indexation by devaluation);
bonds of Astana-finance (Astana) of the second issue (KZ2CKY03A510, ASFIb2;
KZT4.5bn., indexation by devaluation, investor's income has been protected
from decreasing of dollar's rate to tenge);
bonds of Astana-finance OJSC (Astana) of the third issue
(KZ2CKY05A994; ASFIb3, KZT1,000.0 m; indexation by devaluation, investor's
income has been protected from decreasing of dollar's rate to tenge);
bonds of ATFBank OJSC (Almaty) of the second issue
(KZ2CUY05A441, ATFBb2; $10.0m., indexation by devaluation);
bonds of Development Bank of Kazakhstan JSC (Astana) of the first
issue (KZ2CKY05A473, BRKZb1; $4,500.0 m, devaluation indexed)
international bonds of Development Bank of Kazakhstan JSC payable to
bearer of the first issue (XS0155792186, BRKZe1; $100 m., served in USD);
international bonds of Development Bank of Kazakhstan JSC (Astana)
payable to bearer of the second tranche issue (XS0179958805, BRKZe2; $100 m.,
served in USD)
bonds of Bank TuranAlem JSC (Almaty) of the first issue
(KZ2CUY08A320, BTASb1; $20.0m., indexation by devaluation);
bonds of Bank TuranAlem JSC (Almaty) of the second issue
(KZ2CKY08A535, BTASb2; KZT3,750.0m. indexation by devaluation);
international bonds of TuranAlem Finance B.V. of the first issue
(XS0131688227, BTASe1; $100.0m., served in USD);
euronotes of TuranAlem Finance B.V. of the second issue
(XS0148572901, BTASe2; $100.0 m., served in USD);
international bonds of TuranAlem Finance B.V. of the third issue
(XS0168848801, BTASe3; $225.0 m., served in USD);
bonds of Bank CenterCredit OJSC (Almaty) of the first issue
(KZ75KARGCA53, CCBNb1; $4.5m., indexation by devaluation);
bonds of Bank CenterCredit OJSC (Almaty) of the second issue
(KZ2CKY07A503, CCBNb2; KZT1,500.0m., indexation by devaluation, investor's
income has been protected from decreasing of dollar's rate to tenge);
bonds of BANK CASPIAN JSC of the first issue (KZ2CUY03A370,
CSBNb1; $15.0m., indexation by devaluation);
bonds of BANK CASPIAN JSC of the second issue (KZ2CKY07A743,
CSBNb2; 3,100.0 m., indexation by devaluation, investor's income has
been protected from decreasing of dollar's rate to tenge);
bonds of BANK CASPIAN JSC fo the third issue (KZ2CKY07B014,
CSBNb3; KZT7.5 bn, indexation on devaluation)
bonds of Halyk Savings Bank of Kazakhstan OJSC (Almaty) of the first
issue (KZA7KAKK6A78, HSBKb; KZT16.0 m., indexation by devaluation);
bonds of Halyk Savings Bank of Kazakhstan OJSC (Almaty) of the
second issue (KZ2CKY05A556, HSBKb2; KZT2,042.0 m., indexation by devaluation);
bonds of KAZKOMMERTSBANK OJSC (Almaty) of the second issue
(KZ2CKY07A693, KKGBb2; KZT7.5 bn., indexation by devaluation);
international bonds of KAZKOMMERTSBANK OJSC (Almaty) of the
second issue (XS0122349615, KKGBe2; $20.0m., served in USD);
international bonds of Kazkommerts International B.V. of the second
issue (XS0146008171, KKGBe3; $150.0 m., served in USD);
international bonds of Kazkommerts International B.V. of the third issue
(XS0167149094, KKGBe4; $500 m., served in USD);
bonds of NAC Kazatomprom CJSC (Almaty) of the first issue
(KZ2CKY05A523; KZAPb1; KZT2.3 bn., indexation by devaluation);
bonds of Kazpost OJSC (Almaty) of the first issue (KZ2CKY05A739,
KZPSb1; KZT1,413.0 m., indexation by devaluation, investor's income
has been protected from decreasing of dollar's rate relative to tenge);
bonds of KazTransCom OJSC (Almaty) of the first issue
(KZ2CKY07A834; KZTCb1; KZT3.0 bn., indexation by devaluation);
euronotes of KazTransOil CJSC (Astana) of the first issue
(XS0132391938, KZTOe1; $150.0m, USD);
bonds of Nurbank OJSC (Atyrau) of the first issue (KZ2CKY03A544;
NRBNb1, KZT1,500.0 m, devaluation indexed);
bonds of Nurbank OJSC (Atyrau) of the second issue (KZ2CKY08A774,
NRBNb2, KZT4,000.0 m, devaluation indexed);
bonds of Corporation Ordabasy OJSC (Almaty) of the first issue
(KZ2CKY03A593; ORDBb1, KZT1,550.0 m, devaluation indexed);
bonds of RG Brands OJSC (Almaty) of the third issue (KZ2CKY05A721,
RGBRb3; KZT2,350.0 m, devaluation indexed);
bonds of Temirbank OJSC (Almaty) of the first issue (KZ75KAMJ8A57,
TEBNb; $5.0m, devaluation indexed);
bonds of Temirbank OJSC (Almaty) of the second issue
(KZ2CUY11A407, TEBNb2; $5.9m, devaluation indexed);
bonds of Temirbank OJSC (Almaty) of the third issue (KZ2CKY10A648,
TEBNb3; KZT2.2 bn, devaluation indexed, investors income is secured
from dollar rate fall);
bonds of Kazakhstan Temir Zholy CJSC (Astana) of the second issue
(KZ2EUY03A368, TMJLb2; $30.0m, devaluation indexed);
bonds of VALYUT-TRANSIT BANK OJSC (Karaganda) of the first issue
(KZ2CUY05A425, VTBNb1, $10.0m, devaluation indexed).
international bonds of PetroKazakhstan Finance B.V. (Rotterdam, the
Netherlands) first issue (XS0162680382, PKKRe1; $125.0 m, to be
repaid and served in USD);
KASE_BP - index of dirty (with accumulated interest) price of bond (% of
nominal) - weighted average (through capitalization) dirty price of corporate
bonds of "A" category official securities list at KASE, calculated by deals or
by average of market makers quotations (in case of no deals).
KASE_BC - index of clean (without accumulated interest) price of bonds (%
of nominal) - weighted average (through capitalization) clean price of
corporate bonds of "A" category official securities list at KASE, calculated by
deals or by average of market makers quotations (in case of no deals).
KASE_BY - index of bonds yield (% APR) - weighted average (through
capitalization) corporate bonds yield of "A" category official securities list
at KASE, calculated by deals or by average of market makers quotations (in
case of no deals).
It should be noted that mentioned indexes calculated only over dollar
instruments (euronotes) and indexed on devaluation of tenge against dollar
tenge corporate bonds. Non-indexed securities and tenge denominated
bonds indexed on inflation level (consumer prices index) are not taken into
account while calculation of KASE_B* indexes.
Thus, out of 58 corporate bonds included at present in KASE's official "A"
listing category, only 40 have been included in the representative list for
calculation of KASE_BC, KASE_BP and KASE_BY indexes. 9 out of 18
remaining securities are tenge denominated non-indexed bonds, 6 - indexed
on inflation rate, 2 - indexed on tenge devaluation versus U.S. dollar (trades
are not opened yet), and 1 is indexed on inflation and tenge devaluation
versus dollar (2nd issue bonds of Karazhanbasmunai OJSC).
[2004-04-09]