Indicator, which reflects summed face value of floated bonds, traded in the official list of KASE. At that the aggregate cost of bonds of each issue is equal to a product of bond’s number, floated by a listing company in the frames of that issue (without considering of securities, repurchased by an issuer) and of their face value.

Unit of measure: bn. KZT.
Renewal time of the indicator: each business day after the closing of the trades from 5:00PM to 8:00PM.
"Life" of the indicator: 1 business day.
"Life" of indicator' trend: 1 business day.