Since November 16 securities of 38 names are eliminated from KASE's list of instruments, allowed to use as subject of automate repo operations

17.11.05 21:47
/KASE, November 17, 05/ - According to paragraph three of point 3 of Kazakhstan stock exchange's (KASE) internal document "Specification of automate repo market" (http://www.kase.kz/geninfo/normbase/sp_repo.pdf) by the decision of KASE's Board since November 16, 2005 from number of securities, allowed to use as subjects of automate repo operations are eliminated: - common shares (KZ1C31690015, ALKS) of ALMATY KUS JSC (Almaty obl.) with repo operations 1, 3, 7 and 14 days term; - common shares (KZ1C40310019, ASBN) of Alliance Bank JSC (Almaty) with repo operations 1, 3, 7, 14 and 28 days term; - common shares (KZ1C37670011, ASFI) of Astana-finance JSC (Astana) with repo operations 7, 14 and 90 days term; - KZ2CKY03A510 issue bonds (ASFIb2) of Astana-finance JSC with repo operations 1, 2, 7, 21, 30 and 180 days term; - KZ2CKY07B162 issue bonds (ASFIb4) of Astana-finance JSC with repo operations 7, 14 and 28 days term; - KZPC1Y05D501 issue bonds (ASFIb5) of Astana-finance JSC with repo operations 7 and 14 days term; - privileged shares (KZ1P35970816, ATFBp8) of ATFBank JSC (Almaty) with repo operations 1, 3, 7 and 14 days term; - KZ2CKY05A978 issue bonds (ATFBb3) of ATFBank JSC with repo operations 7 days term; - common shares (KZ1C34920013, BTAS) of Bank TuranAlem JSC (Almaty) with repo operations 3, 7, 14 and 28 days term; - common shares (KZ1C36280010, CCBN) of Bank CenterCredit JSC (Almaty) with repo operations 7, 60 and 90 days term; - KZ2CRY07A750 issue bonds (CCBNb3) of Bank CenterCredit JSC со with repo operations 28 days term; - KZA7KAKK6A78 issue bonds (HSBKb) of Halyk savings bank of Kazakhstan JSC (Almaty) with repo operations 1, 2, 7 and 14 days term; - KZ2CKY06A760 issue bonds (HSBKb3) of Halyk savings bank of Kazakhstan JSC with repo operations 7 days term; - KZPC1Y03B198 issue bonds (HSBKb5) of Halyk savings bank of Kazakhstan JSC with repo operations 1, 3 and 14 days term; - KZPC4Y10B190 issue bonds (HSBKb7) of Halyk savings bank of Kazakhstan JSC with repo operations 7 days term; - privileged shares (KZ1P33870117, HSBKp) of Halyk savings bank of Kazakhstan JSC with repo operations 7, 14 and 28 days term; - privileged shares (KZ1P00400815, KKGBp) of Kazkommertsbank JSC (Almaty) with repo operations 10 and 30 days term; - KZ2CKY05B174 issue bonds (KZASb2) of KOSTANI MINERALS JSC (Kostanai obl.) with repo operations 7, 14 and 28 days term; - KZ2CKY03A676 issue bonds (KZIKb1) of Kazakhstan Mortgage Company JSC (Almaty) with repo operations 1, 3, 7, 14 and 28 days term; - KZ2CKY10A853 issue bonds (KZIKb2) of Kazakhstan Mortgage Company JSC with repo operations 1, 3, 14 and 28 days term; - KZ2CKY10A986 issue bonds (KZIKb3) of Kazakhstan Mortgage Company JSC with repo operations 1, 3, 14 and 28 days term; - KZ2CKY10B075 issue bonds (KZIKb4) of Kazakhstan Mortgage Company JSC with repo operations 3, 14 and 28 days term; - common shares KZ1C44930010 (KZMS) of Corporation Kazakhmys (Zheskazgan) with repo operations 1, 2, 7, 14 and 28 days term; - KZ2CKY07A834 issue bonds (KZTCb1) of KazTransCom JSC (Almaty) with repo operations 1, 7 and 14 days term; - XS0132391938 international bonds (KZTOe1) of КазТрансОйл JSC (Astana) with repo operations 2, 14 and 28 days term; - privileged shares (KZ1P33110118, NRBNp6) of Nurbank JSC (Almaty) with repo operations 1, 3, 7, 14 and 28 days term; - KZ2CKY03A593 issue bonds (ORDBb1) of Corporation Ordabasy JSC (Almaty) with repo operations 1, 7, 14, 28 and 60 days term; - privileged shares (KZ1P48710217, ORDBp) of Corporation Ordabasy JSC with repo operations 14 and 28 days term; - KZ2CKY05B091 issue bonds (PRKRb1) of Food contract corporation JSC (Astana) with repo operations 1, 14 and 28 days term; - KZ2CKY05A721 issue bonds (RGBRb3) of RG Brands JSC (Almaty) with repo operations 3, 7, 14 and 28 days term; - common shares (KZ1C07780014, ROSA) of ROSA JSC (Pavlodar) with repo operations 1, 7 and 10 days term; - KZ2CKY03B054 issue bonds (ROSAb1) of ROSA JSC with repo operations 1, 3, 7, 14 and 28 days term; - KZ2CKY03B120 issue bonds (TSBNb1) of Tsesnabank JSC (Astana) with repo operations 1 and 3 days term; - KZ2CKY05A416 issue bonds (TXBNb1) of TEXAKABANK JSC (Almaty) with repo operations 1 and 7 days term; - KZ2CKY07A792 issue bonds (TXBNb2) of TEXAKABANK JSC with repo operations 2 and 14 days term; - common shares (KZ1C05500018, UTMK) of Ust-Kamenogorsk titanium-magnesium combine JSC (Ust-Kamenogorsk) with repo operations 14 and 28 days term; - KZ2CUY05A425 issue bonds (VTBNb1) of Valut-Tranzit-Bank JSC (Karaganda) with repo operations 7, 14 and 28 days term; - privileged shares (KZ1P33290811, VTBNp) of Valut-Tranzit-Bank JSC with repo operations 1, 7 and 14 days term. During six years and more months operations in KASE with the above instruments of automate repo market were not fulfilled. [2005-11-17]