Market and Trades
Markets
Shares
KASE Global
Mutual Funds
Corporate Bonds
IFI Securities
Government Securities
Foreign Currencies
Repo Transactions
Derivatives
Indicators
Stock Market
Money Market
Mutual Indices
Tengri Partners PMI
Business activity index of the NBRK
Trading
List of Instruments
Market Screener
Trading Hours and Calendar
Clearing and Settlement
Valuation Parameters
Market Valuation
Risk parameters of financial instruments
Weighted average Prices
Parameters of KZT Sovereign Zero Coupon Yield Curve
Indicative and market prices, RSS (XML)
Products and Services
Listing
List of Companies
ESG Bonds
Disclosure by companies
Award Winners
Membership
KASE Members List
Activity Ranking
Market Makers
Clearing Partcipants
Direct Market Access Services
Award Winners
Information Products
Market Data and Software
Weekly Market Review
Newsletter
State Securities Market Report
Technologies
Connection
Technical support
Introduction of MOEX technologies
Implementation of SPECTRA technologies
Rules
KASE Rules
Legislation
Additional Materials
Clearing Centre Rules
Press Centre
News
All News
Market News
Companies News
KASE News
Events
Brochures
Media about us
Reports and Presentations
Press Releases
About KASE
About us
History
Mission and Values
Management
Committees and Commissions
Membership in Organizations
Corporate Documents
KASE Museum
For Shareholders
Shareholders
Reports
Notices and News
Corporate Style
Banking Details
State Procurements
Vacancies
Contacts
Trade Information
Find
Қазақстан қор биржасы
Казахстанская фондовая биржа
Kazakhstan Stock Exchange
Sunday, 19 May 2024 06:25
+7 (727) 237 53 00
Қаз
Рус
Eng
Eng
Қаз
Рус
Eng
Login
→
IPO on KASE
For Companies
For Investors
For Brokers-Dealers
For Market Data Users
News
All News
All News
Market News
Companies News
KASE News
Home page
News
News:
Bank CenterCredit JSC
16.09.15 12:13
From September 17 trading in bonds KZP01Y03F063 (KZ2P00003395, AKNPb1) of Aktobe neftepererabotka opens in KASE secondary market sector
11.09.15 18:08
Special trading session to offer bonds KZP07Y10D219 (KZ2C00003317, CCBNb27) of Bank CenterCredit will be held on KASE on September 22
04.09.15 18:00
From September 11 trading in bonds KZP02M90E700 (KZ2C00003283, AGKKb5) of Agricultural credit corporation opens in KASE secondary market sector
04.09.15 10:15
Bank CenterCredit pays 19th coupon on international bonds XS0245586903 (CCBNe3)
02.09.15 12:05
Bank CenterCredit announces concluding interested party transaction
01.09.15 16:24
Interest rate for 18th coupon period on bonds KZPC8Y10B654 (KZ2C00000529, CCBNb15) of Bank CenterCredit (Kazakhstan) – 4.90 % APR
01.09.15 16:17
Interest rate for 19th coupon period on bonds KZPC7Y10B656 (KZ000A0T88K4, CCBNb14) of Bank CenterCredit – 4.90 % APR
01.09.15 16:09
Interest rate for 20th coupon period on bonds KZPC6Y10B658 (KZ2C00000511, CCBNb13) of Bank CenterCredit – 4.90 % APR
28.08.15 17:43
On September 1 trading in bonds KZ2C0Y09E968 (KZ2C00003267, KAFIb4) and KZ2C0Y07E970 (KZ2C00003275, KAFIb5) of KazAgroFinance opens in KASE secondary market sector
28.08.15 15:15
Bank CenterCredit announces concluding interested party transaction
28.08.15 11:02
Bank CenterCredit reports results of financial analysis of ForteBank as of July 1, 2015
27.08.15 16:53
Bank CenterCredit Board of Directors takes decision to offer bonds KZP01Y10E996 (KZ2C00003424, CCBNb28) to public investors
27.08.15 12:35
Amendments to Bank CenterCredit charter published
26.08.15 17:26
Bonds KZP01Y10E996 (KZ2C00003424, CCBNb28) of Bank CenterCredit included to KASE official list's other debt securities category as of August 26
26.08.15 16:27
Bonds KZP01Y10E996 (KZ2C00003424, CCBNb28) of Bank CenterCredit underwent listing on KASE in other debt securities category
21.08.15 17:32
Bank CenterCredit reports on checking pledge on mortgage bonds KZP07Y10C336 (KZ2C00000461, TEBNb18) of ForteBank
21.08.15 15:51
Bank CenterCredit receives KZT5 bn tranche from European Bank for Reconstruction and Development
19.08.15 11:23
Bank CenterCredit says bank and officers were held administratively liable
19.08.15 10:45
Bank CenterCredit repaid bonds KZPC2Y10B657 (KZ2C00000628, CCBNb9)
19.08.15 10:45
Bank CenterCredit repaid bonds KZPC1Y10B659 (KZ2C00000636, CCBNb8)
1
2
3
...
117
118
119
120
121
...
388
389
390
×
Недостаточно данных для построения графика.
Подробности смотрите в таблице.