OREANDA-NEWS. February 16, 2010. The Board of Kazakhstan Stock Exchange (KASE) released BTA Bank's subsidiary -Temirbank (Almaty) beginning February 26, 2010 of market maker duties on bonds, reported the press-centre of KASE:

- KZ2CKY10A648 (KASE, 'buffer category', TEBNb3);

- KZPC1Y10B550 (KASE, 'buffer category', TEBNb4);

- KZPC3Y07B552 (KASE, 'buffer category', TEBNb6);

- KZPC4Y09B556 (KASE, 'buffer category', TEBNb7);

- KZPC5Y06B559 (KASE, 'buffer category', TEBNb8);

- KZPC7Y10B557 (KASE, 'buffer category', TEBNb10);

- KZPC8Y15B554 (KASE, 'buffer category', TEBNb11);

- KZPC1Y03C330 (KASE, 'buffer category', TEBNb12);

- KZPC2Y05C333 (KASE, 'buffer category', TEBNb13);

- KZPC3Y09C333 (KASE, 'buffer category', TEBNb14);

- KZPC4Y09C331 (KASE, 'buffer category', TEBNb15);

- KZPC5Y10C336 (KASE, 'buffer category', TEBNb16);

- KZPC6Y10C334 (KASE, 'buffer category', TEBNb17);

- KZP07Y10C336 (KASE, 'buffer category', TEBNb18).

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