OREANDA-NEWS. November 19, 2009. The Board of the Kazakhstan Stock Exchange (KASE) released Tengry Finance (Almaty) beginning December 5, 2009 of KASE market maker duties on bonds of Kazakhstan Mortgage Company (Almaty), reported the press-centre of KASE:

- KZ2CKY10A853 (KASE, first subcategory of Non-rated debt securities, KZIKb2);

- KZ2CKY10A986 (KASE, first subcategory of Non-rated debt securities, KZIKb3);
 
- KZ2CKY10B075 (KASE, first subcategory of Non-rated debt securities, KZIKb4);

- KZ2CKY07B220 (KASE, first subcategory of Non-rated debt securities, KZIKb6);

- KZ2CKY07B303 (KASE, first subcategory of Non-rated debt securities, KZIKb7);

- KZ2CKY10B315 (KASE, first subcategory of Non-rated debt securities, KZIKb8);

- KZPC2Y05B145 (KASE, first subcategory of Non-rated debt securities, KZIKb10);

- KZPC1Y10B543 (KASE, first subcategory of Non-rated debt securities, KZIKb11);

- KZPC2Y12B547 (KASE, first subcategory of Non-rated debt securities, KZIKb12);

- KZPC4Y10B547 (KASE, first subcategory of Non-rated debt securities, KZIKb16);

- KZP02Y09C495 (KASE, first subcategory of Non-rated debt securities, KZIKb17);

- KZP03Y05C491 (KASE, first subcategory of Non-rated debt securities, KZIKb18);

- KZP04Y04C492 (KASE, first subcategory of Non-rated debt securities, KZIKb19).

The decision was made in accordance with item 16 of article 5 of the KASE internal document "Rules on market maker activity" on the basis of a market maker's request.