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Results of foreign currency trading on KASE as of 11:30
Amendments to the Rules for Exchange Information Dissemination will come into effect on February 1
A. Amanzholov appointed as general director of Aktobe Oil Equipment Plant
Fincraft Group paid first coupon on bonds KZ2P00010747 (NCOMpp2)
January 21, 2025 KASE Index decreased by 0.65% to 5,723.92
Kazakhstan's Ministry of Finance on January 21 placed 21.8 mln MEUKAM KZKD00001079 (MUM216_0002) on KASE at weighted average yield to maturity of 13.89 % APR
Kazakhstan's Ministry of Finance on January 21 placed 30.9 mln MEUKAM KZKD00001160 (MUM096_0012) on KASE at weighted average yield to maturity of 13.77 % APR
Interest rate for second coupon period on bonds KZ2C00011468 (HSBKb21) of Halyk Bank of Kazakhstan – 13.61 % per annum
ANNOUNCEMENT: ON JANUARY 23 KASE WILL HOLD «ISSUER DAY» OF JETFINANCE COMPANY (MFO «Mogo Kazakhstan»)
Information on shares and shareholders of Kcell as of January 1, 2025
Information on shares and shareholders of Kaspi.kz as of January 1, 2025
Information on shares and shareholders of ForteBank as of January 1, 2025
Results of foreign currency trading on KASE as of 17:00
On January 21, repeated special trading session for offering of MEUKAM KZKD00001160 (MUM096_0012) with settlement on January 23 was held on KASE
On January 21, repeated special trading session for offering of MEUKAM KZKD00001079 (MUM216_0002) with settlement on January 23 was held on KASE
Special trading session for additional offering of MEUKAM KZKD00001160 (MUM096_0012) with settlement on January 23 and current maturity of 4.5 years will be held on KASE today from 15:30 to 16:00 o'clock
Results of foreign currency trading on KASE as of 15:30
Special trading session for additional offering of MEUKAM KZKD00001079 (MUM216_0002) with settlement on January 23 and current maturity of 12.1 years will be held on KASE today from 15:30 to 16:00
MFO «R-Finance» paid ninth coupon on bonds KZ2P00011067 (MFRFb12)
Transtelecom paid 10th coupon on bonds KZ2C00006344 (TCOMb1)
NMH «Baiterek» paid 16th coupon on bonds KZ2C00003820 (KZAGb5)
NMH «Baiterek» paid 16th coupon on bonds KZ2C00003812 (KZAGb4)
AK Altynalmas paid dividends on preferred shares for fourth quarter of 2024
Sole shareholder of Akzhal Gold Resources decided to pay dividends on common shares for 2023
Results of foreign currency trading on KASE as of 11:30
Special trading session for repurchase of 6,250 bonds KZ2P00009970 (RGBKb2) of RG Brands Kazakhstan will be held on KASE on January 23
Lombard «GoldFinMarket» paid fourth coupon on bonds KZ2P00011877 (MFLGb1)
Kazakhstan Sustainability Fund paid fourth coupon on bonds KZ2C00008944 (KFUSb48)
As of January 21, information on maturity of bonds KZ2C00011583 (BRKZb38) of Development Bank of Kazakhstan changed in KASE's trading system and databases
Agency of Republic of Kazakhstan for Regulation and Development of Financial Market registered amended issue prospectus of bonds KZ2C00011583 (BRKZb38) of Development Bank of Kazakhstan
Kazakhstan Sustainability Fund paid fourth coupon on bonds KZ2C00008936 (KFUSb47)
International bonds XS2571803019 (ASDBe13) of Asian Development Bank delisted from KASE due to reaching maturity
Repeated special trading session for offering of MEUKAM KZKD00001160 (MUM096_0012) with settlement on January 23 and current maturity of 4.5 years is held on KASE today
Results of foreign currency trading on KASE as of 15:30
Asian Development Bank raised KZT7.6 bn on KASE via subscription, by placing two-year «green» international bonds XS2971950428 (ASDBe19) at 13.94 %
Volume of oil transportation by KazTransOil in 2024 amounted to 44 mln 887 thous. tons
Trading volume in KASE Global sector on January 13-17 totaled KZT1,772.4 mln ($3,350.6 th.)
Sole partner of TechnoLeasing decides to repurchase 221,660 bonds KZ2P00007362 (THLZb4)
Sole partner of TechnoLeasing decides to repurchase 2.0 mln bonds KZ2P00007354 (THLZb3)
Results of foreign currency trading on KASE as of 11:30
Since January 20, trading in bonds KZ2C00011468 (HSBKb21) of Halyk Bank of Kazakhstan suspended on KASE
Sole holder of bonds KZ2C00011468 (HSBKb21) of Halyk Bank of Kazakhstan decided to amend bond issue prospectus
BASS Gold concluded new supply contract with Tau-Ken Altyn
ForteBank paid 39th coupon on bonds KZ2C00000024 (TEBNb4)
Trading in futures on securities of exchange-traded investment funds opens on KASE as of January 20
Bonds KZ2P00007933 (MFMOb2) of MFO «Mogo Kazakhstan» delisted from KASE due to reaching maturity
Bonds KZ2C00010502 (KFUSb61) of Kazakhstan Sustainability Fund delisted from KASE due to reaching maturity
/REPEAT/ Repeated special trading session for offering of MEUKAM KZKD00001160 (MUM096_0012) with settlement on January 23 and current maturity of 4.5 years will be held on KASE on January 21
/REPEAT/ Repeated special trading session for offering of MEUKAM KZKD00001079 (MUM216_0002) with settlement on January 23 and current maturity of 12.1 years will be held on KASE on January 21
CHANGES IN SCHEDULE OF TRADING ON KASE IN JANUARY 2025
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