Kazakhstan pension funds' investments: bonds of KFW International Finance
10.02.05 11:08
/IRBIS, Elena Korpusenko, February 10, 05/ - Today the following bonds
were included into the register of securities, purchased by Kazakhstan
pension market's participants.
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Issuer KFW International Finance (USA)
Type of bond: global notes
Type of debt: senior unsecured guaranteed
ISIN: XS0210113477
Code in the register: KFW_T260107
Issue currency: TRY (Turkish new lira)
Issue volume in currency of emission: 175,000,000
Payment date (circulation starting): Jan 26, 05
Circulation term: 2 years
Maturity date: Jan 25, 07
Type of coupon: Annual
Coupon rate 15.50% APR
Coupon payment date: Jan 26 of each year
Time basis for yield calculation: Actual/365
Price at the primary floatation: 99.6100%
Credit ratings:
Moody's Aaa
S&P AAA
composite AAA
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Data about the structure of bonds, current prices and yield at the market are
given in accordance with the information of BLOOMBERG agency.
[2005-02-10]