您使用提示模式 关闭
为了方块之间的快速移动

国内债券: Kazakhstan, FRN 06oct2011, KZT (KZK1KY011107)

下载
复制发行信息到剪贴板
复制发行信息到剪贴板
复制到剪贴板
数据已复制到剪贴板

Zero-coupon bonds

债券发行 | 发行人
发行人
  • ACRA
      | ***
    ***
状态
已偿还
总量
13.000.000.000 KZT
发行
***
到期 (选择权)
*** (-)
应计利息
风险所在国
哈萨克斯坦
实时利率
-
-
收益率/久期
-
两次点击计算!收益率, 久期等分析指标
两次点击计算!收益率, 久期等分析指标
计算器 计算器是什么?
  • 发行量
    13.000.000.000 KZT
  • 发行量
    13.000.000.000 KZT
  • 面值
    100 KZT

探索最全面的数据库

80 万

债券

超过 400

定价来源

8 万

股票

9 千

ETF

以最有效的方式跟踪您的投资组合
债券筛选器
观察列表
Excel 附加组件

交易时间表

选择证券交易所
选择证券交易所
跟多关于 Cbonds Estimation
债券交易停止, 该债已偿还
数据显示法可以选择 图形 | 表格
数据显示法可以选择 图形 | 表格
图形中可变: 报价, 期间, 发行比较
图形中可变: 报价, 期间, 发行比较
表格字段名称
找到
显示所有列
ADD-IN
Cbonds 加载项
API
债券数据 API
请求认证
需要 访问
*所选项下没有可用数据
OTC报价是指示性价格

证券交易所和场外交易市场

信息提供者所提供的报价仅供参考。

发行信息

简介
Domestic government securities market of Kazakhstan is presented by the government treasury bills of the Republic of Kazakhstan. The amount and terms of each issue of the treasury bills are determined by the issuer to the ...
Domestic government securities market of Kazakhstan is presented by the government treasury bills of the Republic of Kazakhstan. The amount and terms of each issue of the treasury bills are determined by the issuer to the limit of government debt and expenses for its service, as stipulated by the law of the Republic of Kazakhstan on the national budget for the relevant period.

The State Borrowing Department, a structural subdivision of the Ministry of Finance of the Republic of Kazakhstan, is engaged in ensuring regulation, government and government-guaranteed borrowings. The Department identifies the main areas of the government debt policy of the Republic of Kazakhstan and forms a plan for issuing government securities. Relevant documents are available on the website of the unified platform of web resources of the government agencies of Kazakhstan.

The Ministry of Finance of the Republic of Kazakhstan issues the following types of the treasury bills:
• MEKKAM are short-term treasury bills with a maturity of up to 12 months, issued at a discount to nominal value;
• MEOKAM are mid-term treasury bills with a fixed coupon, issued with maturities of 1 to 5 years. The coupon is paid twice a year;
• MEUKAM are long-term treasury bills with a fixed coupon, issued with a maturity of over 5 years. Coupon is paid once a year;
• MOIKAM are mid-term treasury bills with an indexed coupon, issued with maturities of 1 to 5 years. Payment of the indexed coupon is made twice a year, and indexation is tied to the inflation value for the expired coupon period;
• MUIKAM are long-term treasury bills with an indexed coupon, issued with a maturity of over 5 years. Payment of the indexed coupon is made once a year, and indexation is also tied to the inflation value for the expired coupon period;
• MEUJKAM are long-term savings treasury bills with an indexed coupon. MEUDjKAM are similar to MUIKAM in terms of their properties. The only difference between them is that for a half of the maturity period MEUDjKAM bills are traded among pension funds, JSC Unified Accumulative Pension Fund, life insurance companies, as well as JSC State Social Insurance Fund. Upon expiry of the specified period, treasury bills can be traded freely;
• MAOKAM are special mid-term treasury bills in US dollars with maturities of 2 and 3 years. They are placed among individuals by subscription. A fixed coupon is paid on those securities twice a year.

Treasury bills are placed at auctions held by the Ministry of Finance of the Republic of Kazakhstan by subscription and other trading methods as determined by the internal regulations. Information on the dates and planned amount of treasury bills placement is published on the website of Kazakhstan Stock Exchange (KASE).
  • 发行人
    跳转发行人的页面
    Kazakhstan
  • 发行人 / 借款人全称
    Kazakhstan
  • 部门
    主权国家
发行量
  • 发行量
    13.000.000.000 KZT
  • 发行量
    13.000.000.000 KZT
票面价值
  • 票面价值
    100 KZT
  • 未偿还贷款本金
    *** KZT
名录
  • 名录
    ***

现金流参数

  • 基准利率
    ***
  • 票面利率
    ***
  • 计息基准
    ***
  • 起息日
    ***
  • 支付货币
    ***
  • 到期日
    ***

提前赎回条款

***

探索最全面的数据库

80 万

债券

超过 400

定价来源

8 万

股票

9 千

ETF

以最有效的方式跟踪您的投资组合
债券筛选器
观察列表
Excel 附加组件

代码

  • 国家注册号
    KZK1KY011107
  • 证券按俄罗斯中央银行的分类类型
    ***

评级

债券分类

  • 贴现债券
  • 排名: Undefined
  • Registered
  • MEKKAM
  • 摊提
  • Callable
  • CDO
  • 可交换的
  • 双货币债券
  • 浮动利率
  • 为合格投资者 (俄罗斯)
  • 外债
  • 绿色债券
  • 担保的
  • 通货膨胀相关本金
  • 发行超主权债券
  • 通货膨胀挂钩息票
  • 抵押
  • 永续债券
  • 实物支付债券
  • 非流通证券
  • 赎回关联与
  • 重组
  • 零售债券
  • 担保债券
  • 证券
  • 结构性产品
  • 商业债券
  • 次级
  • 伊斯兰债券
  • 追溯

重组

***

你必须 注册 才能获得访问权