/KASE, April 4, 06/ - By the decision of Kazakhstan stock exchange's
(KASE) Board since April 3 of 2006 following securities are excluded from
KASE's list of instruments, allowed for using as subjects of automatic repo
transactions:
- KZ1C31690015 issue common shares (ALKS) of Almaty-Kus JSC
(Almaty) with 28-day repo transactions term;
- KZ2CKY07В394 issue bonds (ASBNb3) of Alliance Bank JSC
(Almaty) with 14- and 30-day repo transactions term
- KZPC1Y03B571 issue bonds (ASBNb4) of Alliance Bank JSC with
7,14-and 30 day-repo transactions term;
- KZ1C37670011 issue common shares (ASFI) of Astana-Finance
(Astana) with 28-day repo transactions term;
- KZPC1Y10B634 issue bonds (ASFIb7) of Astana-Finance JSC
(Astana) with 7- and 14-day repo transactions term;
- KZ1P35970618 issue preferred shares (ATFBp) of ATFBank JSC
(Almaty) with 3-day repo transactions term;
- KZPC2Y05B335 issue bonds (BTAIb4) of BTA Ipoteka JSC (Almaty)
with 1, 3, 7, 14 -and 28 day repo transactions term;
- KZPC1Y10B333 issue bonds (BTAIb5) of BTA Ipoteka JSC with 3-,
14-, and 30-day repo transactions term;
- KZPC2Y08B644 issue bonds (BTAIb8) of BTA Ipoteka JSC with 1-, 3-,
7-, 14- and 28-day repo transactions term;
- KZ2CUY08A320 issue bonds (BTASb1) of Bank TuranAlem JSC
(Almaty) with 1-, -and 3-day repo transactions term;
- KZ1P34920614 issue preferred shares (BTASp) of Bank TuranAlem
JSC with 30-day repo transactions term;
- KZ1C36280010 issue common shares (CCBN) of Bank CenterCredit
JSC (Almaty) with 14- and 30-day repo transactions term;
- KZ2CKY07B287 issue bonds (CCBNb4) of Bank CenterCredit JSC
with 3- 14- and 30-day repo transactions term;
- KZ2CKY03B294 issue bonds (CCBNb5) of Bank CenterCredit JSC
with 3-day repo transactions term;
- KZ2CKY05A911 issue bonds (EUBNb1) of Eurasian bank JSC
(Almaty) with 1-, 7-, 14-, 28- and 90-day repo transactions term;
- KZ2CKY07B360 issue bonds (EUBNb2) of Eurasian bank JSC with 1-
, 7-, 14-, 28- and 90-day repo transactions term;
- KZ2CKY05A556 issue bonds (HSBKb2) of Halyk savings bank of
Kazakhstan JSC (Almaty) with 1-, 3-, 7-, 14-, and 28-day repo
transactions term;
- KZ2CKY06A760 issue bonds (HSBKb3)of Halyk savings bank of
Kazakhstan JSC with 3- and 28-day repo transactions term;
- KZPC1Y03B198 issue bonds (HSBKb5) of Halyk savings bank of
Kazakhstan JSC with 7-, and 28-day repo transactions term;
- KZPC6Y10B195 issue bonds (HSBKb9) of Halyk savings bank of
Kazakhstan JSC with 1-, 3-, and 28-day repo transactions term;
- KZ2CKY07A693 issue bonds (KKGBb2) of KazCommertsBank JSC
(Almaty) with 1-, 3-, 7-, and 14-day repo transactions term;
- XS0132391938 issue international bonds (KZTOe1) of KazTransOil
JSC (Astana) with 1-day repo transactions term;
- KZPC1Y04B420 issue bonds (NRBNb4) of Nurbank JSC (Almaty) with
3-, and 30-day repo transactions term;
- KZ1C07780014 issue common shares (ROSA) of ROSA JSC
(Pavlodar) with 3-, and 7-day repo transactions term;
- KZ1C00260014 issue common shares (TEBN) of Temirbank JSC
(Almaty) with 1-, 3-, and 30-day repo transactions term;
- KZ1P00260912 issue preferred shares (TEBNp) of Temirbank JSC
with 7-day repo transactions term;
- KZPC1Y10B550 issue bonds (TEBNb4) of Temirbank JSC with 3-,
and 30-day repo transactions term;
- KZ1C33820016 issue common shares (TSBN) of Tsesnabank JSC
(Astana) with 7-, 14-, 28-, 60-, and 90-day repo transactions term;
- KZ1P33820914 issue preferred shares (TSBNp) of Tsesnabank JSC
with 7-, 14-, 28-, 60-, and 90-day repo transactions term;
- KZ2CKY03B120 issue bonds (TSBNb1) of Tsesnabank JSC with 14-
day repo transactions term;
- KZ2CKY07B626 issue bonds (TSBNb2) of Tsesnabank JSC with 7-,
28-, 60-, and 90-day repo transactions term;
- KZ1C05500018 issue common shares (UTMK) of Ust-Kamenogorsk
titanium-magnesium combine JSC (Ust-Kamenogorsk) with 14- and
21-day repo transactions term;
- KZPC1Y05B618 issue bonds (VTBNb3) of Valut-Tranzit-Bank JSC
(Karaganda) with 14-day repo transactions term;
- KZ2CKY01B686 issue bonds (ZIG_b1) of Zangar Invest Group JSC
(Almaty) with 1-, 3-, 7- and 14-day repo transactions term.
The decision has been taken in compliance with paragraph 3 of item 3 of
KASE's internal document "Specification of automatic repo market"
(
http://www.kase.kz/geninfo/normbase/sp_repo.pdf), because repo
transactions with these securities of automatic repo market were not made
on KASE for three months.
[2006-04-04]