KASE included bonds of seven new issues in representative list for calculation of KASE_B* indexes
17.01.06 14:43
/KASE, January 17, 06/ - By the decision of Kazakhstan stock exchange's
(KASE) Board since January 17 of 2006 following bonds have been
included in representative list for calculation of KASE_BC, KASE_BP and
KASE_BY indexes:
- KZPC4Y10B653 issue mortgage bonds of Bank CenterCredit JSC
(Almaty) (CCBNb11; KZT100, KZT2.0 bn.; December 27, 05 - December
27, 15, semi-annual coupon indexed on inflation rate, 9.0% APR for the
first circulation year, 30/360);
- KZPC5Y05B650 issue mortgage bonds of Bank CenterCredit JSC
(Almaty) (CCBNb12; KZT100, KZT5.0 bn.; December 27, 05 - December
27, 10, fixed semi-annual coupon, 9.0% APR, 30/360);
- KZPC2Y12B547 issue mortgage bonds of Kazakhstan Mortgage
Company JSC (Almaty) (KZIKB12; KZT1, KZT5.0 bn.; April 10, 05 -
April 10, 17, semi-annual coupon indexed on inflation rate, 7.5% APR for
the current coupon period, 30/360);
- KZ2CKY07B717 issue subordinate bonds of NEFTEBANK JSC
(Aktau) (NFBNb1; KZT100, KZT3.0 bn.; September 27, 05 - September
27, 12, semi-annual coupon indexed on inflation rate, 9.0% APR for the
first circulation year, 30/360);
- KZ2CKY03B773 issue bonds of Ulba metallurgical plant JSC (Ust-
Kamenogorsk) (ULBAb1; KZT1,000, KZT2.0 bn.; December 26, 05 -
December 26, 08, fixed semi-annual coupon, 8.25% APR, 30/360);
- KZ2CKY05B539 issue bonds of VITA JSC (Almaty) (VITAb4; KZT1,
KZT5.0 bn.; April 21, 05 - April 21, 10, semi-annual coupon indexed on
inflation rate, 8.55% APR for the reporting period, 30/360);
- KZ2CKY01B686 issue bonds of Zangar Invest Group JSC (Almaty)
(ZIG_b1; KZT1, KZT4.0 bn.; October 20, 05 - October 20, 06, semi-
annual coupon, 8.5% APR, 30/360).
Thus, out of 138 corporate bonds included at present in KASE's official "A"
listing category 120 securities are in the representative list for the
mentioned indexes calculation.
[2006-01-17]