|
Schedule of
events on corporate debt market of Kazakhstan from
February 18 through February 24: issuers should pay out $1.8m
/IRBIS, Feb 15, 02/ - For February 18 through February 24, 2002 following
events will take place on corporate debt market of Kazakhstan at the
Exchange.
On February 19 Bank TuranAlem OJSC (Almaty) should pay second
coupon on its first issue subordinated bonds (KZ2CUY08A320, official list of
KASE under category "A"; trade code - BTASb1; $100, $20.0m; Feb 19,01 -
Feb 19,09, semiannual coupon at 12.0% APR). If all shares are outstanding
amount of payment is USD1,200 th. that is equivalent to KZT182,352.0 th.
at current exchange rate (bonds are serviced at it).
On February 19 DAGOK Kustanaiasbest OJSC (Kostanai oblast) should
pay second coupon on its first issue bonds (KZ739AVI2A42, official list of
KASE under category "A"; trade code - KZASb1; $100, $6.0m; Feb 19,01 -
Feb 19,04, semiannual coupon at 12.0% APR). If all shares are outstanding
amount of payment is USD360 th. that is equivalent to KZT54,705.6 th. at
current exchange rate (bonds are serviced at KASE rate).
On February 19 Temirbank OJSC (Almaty) should pay second coupon on
its first issue bonds (KZ75KAMJ8A57, official list of KASE under category
"A"; trade code - TEBNb; $100, $5.0m; Aug 19,00 - Aug 19,05, semiannual
coupon at 10.5% APR). If all shares are outstanding amount of payment is
USD262.5 th. that is equivalent to KZT39,889.5 th. at current exchange rate
(bonds are serviced at KASE rate).
Since all abovementioned issuers have reported on complete floatation of
their issues a total amount of payments on corporate debt next week should
account for equivalent of USD1,822.5 th. at KASE rate on February 19.
Trade codes of KASE securities
/IRBIS, Nov 13, 00/ - Following is the list of trade codes of securities that
are traded at the Kazakhstan Stock Exchange (KASE):
Admittance
Code Short title of the issuer level
-----------------------------------------------------------------
ABCB GRK ABS-BALKHASH JSCOT N-2
ALKS Almaty Kus OJSC A
ALKZ Aliuminii Kazakhstana OJSC B
AMGZ Aktobemunaigas JSC N-2
ANPZ ANPZ OJSC N-2
ASFI Astana-finance OJSC B
ATFB AMB CJSC A
BSUL Bayan-Sulu OJSC B
BTAS Bank TuranAlem OJSC A
CCBN Bank CenterCredit OJSC A
CHPV SHYMKENTPIVO CJSC N-2
DNFB Donskaya Neftebaza OJSC N-2
EAEC Euraziatskaya Energeticheskaya Korporatsya OJSC N-2
ETLN AZ Etalon JSC N-2
GEOT GEOTEKS OJSC N-1
HSBK Halyk Bank of Kazakhstan OJSC A
JGOK Jairemskii GOK OJSC N-2
JMGP Jambylgips CJSC N-2
KCSK KTSSHK JSC OT N-2
KGEN Kyrgyzenergo JSC N-2
KGTK Kyrgyztelecom JSC N-2
KIBN Kazinterbank OJSC N-2
KKGB KAZKOMMERTSBANK OJSC A
KKSH Kazakhstancaspishelf JSC N-2
KOMB Komirbank OJSC A
KSTR KASKOR-TRANSSERVICE OJSC N-2
KTEP OJSC KATEP N-2
KZCR TNC KAZCHROME OJSC B
KZEM Kazakhoil-Emba OJSC N-2
KZMS Corporation Kazakhmys OJSC B
KZOL NOC KAZAKHOIL CJSC A
KZTK KAZAKHTELECOM A
KZTO NOTC KazTransOil CJSC A
KZZN Kazzinc OJSC N-2
MMGZ Mangistaumunaigas OJSC B
NFBN Neftebank OJSC B
RAHT Rakhat JSC N-2
RENT RENATA LLP N-2
SAYH AVTOVOKZAL-SAYAKHAT OJSC N-2
SSGP SSGPO OJSC N-2
SULT Sultan JSC N-2
SYRG SHNOS OJSC A
TEBN Temirbank OJSC A
TMJL Kazakhstan Temir Joly NSE A
ULBA Ulbinskii mettalurgicheskii zavod JSC N-2
UTMK UKTMK OJSC A
VGEO Volkovgeologya OJSC N-2
VOCH Voskhod OJSC N-2
VSZM Vostok-Cement OJSC N-2
VTBN VALUT-TRANZIT BANK OJSC B
ZHEN Jyluenergya OJSC N-2
ZMBN Zaman-Bank OJSC N-2
Only trade codes of common inscribed shares are given. Other instruments
of these emitters are coded by adding a small letter to the main part of the
code, which means:
- p - preferred inscribed share;
- b - bond;
- e - eurobond.
Specifications of admittance levels:
- A - official list of category "A" (Listing "A");
- B - official list of category "B" (Listing "B");
- N-1 - "Non-listed securities" sector, first admittance level;
- N-2 - "Non-listed securities" sector, second admittance level;
- NZ - state blocks of shares traded in "Non-listed securities" sector.
|