New risk parameters are established for financial instruments in the stock, foreign exchange and derivatives markets, effective July 1, 2026
/KACC, June 18, 2026/ – KASE Clearing Centre (KACC) reports that KACC Market Risk Committee has established risk parameters for financial instruments on the stock market, foreign exchange market, and derivatives market for the period from July 1 to September 30, 2026.
At the same time, the validity period of the risk parameters established until June 15, 2026, has been extended until June 30, 2026.
The restrictive coefficient determining the portion of foreign currency that is taken into account in collateral on the derivatives market for the period from July 1 to September 30, 2026, is set at 93 %.
The new risk parameters can be found at https://kacc.kz/en/risk-parameters
[2026-06-18]
