/REPETITION/ Repeated special trading session to offer MEUKAM-180 of issue 12 (KZKDKY150123) will be held on KASE on October 7

06.10.15 09:45
/KASE, October 6, 2015, September 28, 15 new repetition/ – Kazakhstan Stock Exchange (KASE) informs that a repeated special trading session to offer government long-term treasury bonds of Kazakhstan's Ministry of Finance (MEUKAM) will be held in KASE trading system on October 7, 2015 on the terms below (Almaty time). --------------------------------------------------------------- Security type: MEUKAM-180 National identification number: KZKDKY150123 Issue order number: 12 / 180 KASE trade code: MUM180_0012 Nominal value, tenge: 1,000.00 Volume of bonds in circulation, pieces: 35,347,000 First circulation date: February 4, 2015 Last circulation date: February 3, 2030 Maturity date: February 4, 2030 Circulation term: 15 years (5,400 days) Coupon rate: 7.68 % APR Coupon payment periodicity: once a year Coupon payment date: February 4 annually Time base: 30 / 360 --------------------------------------- ----------------------- Trade date: October 7, 2015 Term to redemption: 14.3 years (5,157 days) Declared placement volume, pieces: 30,000,000 Trade subject: "net" price Market order acceptance ratio, %: 70 Order submission method: closed Order receipt time: 09:00–11:00 Order confirmation time: 09:00–11:30 (Т+0) Striking time: before 15:00 (Т+0) Payment date: xecution of Activities of Organizers of Trading in Securities and Other Financial Instruments", from July 15, 2012 orders for participation in special trade for initial offering of government securities of the Republic of Kazakhstan may only be submitted by members of KASE stock market - second-tier banks, accumulative pension funds or institutions carrying out investment management of pension assets. Second-tier banks can carry out transactions on behalf and at the account and in interest of clients who are second-tier banks, accumulative pension funds, insurance organizations holding a license for "life insurance" activities or organizations carrying out investment management of pension assets. Organizations carrying out investment management of pension assets take part in trading only at the account and in interest of an accumulative pension fund. The text of the Rules of Execution of Activities of Organizers of Trading in Securities and Other Financial Instruments is published on KASE website, at http://www.kase.kz/files/normative_base/post_170.pdf [2015-10-06]