MEKKAM-3 of Ministry of Finance of Kazakhstan of the 298th emission - results of offering
07.09.04 18:29
/IRBIS, Sergey Yakovlev, September 7, 04/ - Today the Ministry of Finance
(MOF) and the National Bank of Kazakhstan held the 298th auction for
MEKKAM-3 offering (91 days). Size of satisfaction for noncompetitive
applications is 30% of specified amount.
Following is the issue structure, results of bonds offering and comparison
with previous similar comparable issue:
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Type of the securities МЕККАМ-3 МЕККАМ-3
NIN KZK1KM032981 KZK1KM032973
KASE trade code MKM003_0298 MKM003.297
IRBIS registration number 298/3 297/3
Par value, KZT 100.00 100.00
Day count convention actual/365 actual/365
Offering date (auction) Sep 7, 04 Sep 30, 03
Payment date Sep 8, 04 Sep 30, 03
Circulation start date Sep 9, 04 Oct 1, 03
Maturity date Dec 8, 04 Dec 30, 03
Days in circulation 91 91
Planned volume. KZT m 5,000.0 (+2,000.0)
Number of participants - Primary dealers 14 (+4)
Demand. KZT m 15,534.0 (+13,378.8)
Yield on demand weighted average, % APR 4.42 (-2.68)
Actual volume, KZT m 7,718.9 (+5,815.5)
Cut-off price, KZT 99.15 (+0.65)
Weighted average price, KZT 99.19 (+0.63)
Max yield % APR 3.44 (-2.67)
WA yield, % APR 3.28 (-2.58)
WA effective yield, % APR 3.32 (-2.67)
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According to information of the National Bank, there were no applications to
the auction submitted by non-residents.
Relative to previous successful offering of discount bonds of the Ministry of
finance (KZK1KY010828, MEKKAM-12#82 dated July 21, 04) demand rose
by KZT1,257.1 m (1.1 times), actual floating volume fell by KZT6,558.0 m
(1.8 times), effective yield fell from 4.79% to the value indicated in the
table.
[2004-09-07]