OREANDA-NEWS. As was announced earlier, a repeated special trading session for offering of government long-term treasury obligations of Kazakhstan's Ministry of Finance (MEUKAM) is held in KASE trading system today on the following terms (Almaty time).

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Security type:                          MEUKAM-300             
National identification number:         KZKDKY250030           
Issue order number:                     3 / 300                
KASE trade code:                        MUM300_0003            
Nominal value, tenge:                   1,000.00               
Volume of bonds in circulation, pieces: 45,000,000             
First circulation date:                 February 26, 2015      
Last circulation date:                  February 25, 2040      
Maturity date:                          February 26, 2040      
Circulation term:                       25 years (9,000 days)  
Coupon rate:                            8.37 % ARP             
Coupon payment periodicity:             once a year            
Coupon payment date:                    February 26 annually   
Time base:                              30 / 360               
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Trade date:                             June 26, 2015          
Term to maturity:                       24.7 years (8,880 days)
Declared offering volume, pieces:       25,000,000             
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:                           June 26, 2015          
Payment time                            before 15:00 (Т+0)     
Order acceptance method:                at cut-off price (rate)
Trading system sector:                  MEKAM_ST1              
Trading system group:                   MEUKAM_300             
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As the price an order must indicate the bond's "net" price (excluding the interest accrued) in percentage of the face value, expressed with accuracy within the fourth decimal. This is the trade subject.

Trade participants must by the time indicated in the table provide money available at the money account used for settlement on deals in securities in accordance with the set of rules of the Central Securities Depository (Almaty), in  the amount sufficient to pay for acquired treasury bonds (based on the assumption that all orders submitted by primary dealers and received by KASE are subject to acceptance).