Asia Broker Services Assigned Status of Market Maker
OREANDA-NEWS. On November 26, 2007 by the decision of the Board of Kazakhstan stock exchange (KASE) since November 26, 2007 Asia Broker Services JSC (Almaty) on the basis of its application assigned the status of market maker on bonds of Daughter organization of Joint stock company Bank TuranAlem - Joint stock company Temirbank (Almaty, in the title - Temirbank JSC), traded in KASE's category "A" official list, reported the press-centre of KASE:
- KZ2CUY11A407 (TEBNb2; KZT100, KZT5.9 m.; September 14, 01 - September 14, 08, semi annual coupon 11 % APR);
- KZ2CKY10A648 (TEBNb3; KZT20,000, KZT2.2 bn; October 20, 02 - October 20, 2, floating semi annual coupon, 14 % APR for the current period);
- KZPC1Y10B550 (TEBNb4; KZT10,000, KZT5.0 bn; July 6, 05 – July 6, 15, floating semi annual coupon, 8.0 % APR for the current period);
- KZPC2Y03B553 (TEBNb5; KZT1, KZT3.0 bn; December 30, 05 - December 30, 08, semi annual coupon 9,75 % APR);
- KZPC3Y07B552 (TEBNb6; KZT1, KZT4.0 bn; December 30, 05 - December 30, 12, semi annual coupon indexed on inflation rate, 8,6 % APR for the current period);
- KZPC4Y09B556 (TEBNb7; KZT1,000, KZT3.0 bn; June 1, 06 - June 1, 15, semi annual coupon indexed on inflation rate, 9,7 % APR for first two circulation years);
- KZPC5Y06B559 (TEBNb8; KZT1,000, KZT3.5 bn; June 1, 06 - June 1, 12, semi annual coupon indexed on inflation rate, 9,7 % APR for first three years of circulation);
- KZPC6Y03B554 (TEBNb9; KZT1,000, KZT3,0 bn; June 1, 06 - June 1, 09, semi annual coupon 9,75 % APR);
- KZPC7Y10B557 (TEBNb10; KZT1,000, KZT4,5 bn; November 29, 06 - November 29, 16, semi annual coupon indexed on inflation rate, 8,5 % APR for first three years of circulation);
- KZPC8Y15B554 (TEBNb11; KZT1,000, KZT4,0 bn; November 29, 06 - November 29, 21, semi annual coupon indexed on inflation rate, 9,0 % APR for the first three years of circualtion).
Minimal volumes of compulsory quotations are set in sizes:
- at KZ2CUY11A407 - 22,000 bonds;
- at KZ2CKY10A648 - 110 bonds;
- at KZPC1Y10B550 - 220 bonds;
- at KZPC2Y03B553 and KZPC3Y07B552 - 2,200,000 bonds for each;
- at KZPC4Y09B556, KZPC5Y06B559, KZPC6Y03B554, KZPC7Y10B557 and KZPC8Y15B554 - 2,200 bonds of each issue.
Currently market-maker functions on listed securities are executed by First Brokers House JSC (Almaty).
Additional information about issues of securities is published on the web-site of KASE at http://www.kase.kz/emitters/tebn.asp
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