Trade Information
Contacts:
5th floor, block A, business center Old Square, 98 Panfilov st., Almaly district, Almaty 050000, Republic of Kazakhstan
Phone: (727) 244 32 32 вн. 7204
Fax: (727) 244 32 31
First boss:
Chairman of the Management Board Nurlan Kalamkhatov
Credit ratings:
Эксперт РА Казахстан: A++ (20.04.18);
Membership categories:
Stock since 15.07.97

2

Share securities

4

Debt securities

4

Repo

6

Government Securities

Full name of the trader ID KASE member Category of membership Access status Status in the register
status Date ground Date status
Li Andrey Leonidovich 120b25 BCC Invest JSC (Subsidiary of Bank CenterCredit JSC) stock market

certification completed

10.08.2018

access granted



put on register

Tursynkhanov Maksat Yerzhanuly 120b24 BCC Invest JSC (Subsidiary of Bank CenterCredit JSC) stock market

certification completed

10.08.2018

access granted



put on register

Kazybekova Zhaniya Azatkyzy 120b22 BCC Invest JSC (Subsidiary of Bank CenterCredit JSC) stock market

certification completed

06.09.2017

access granted



put on register

Suleimenova Assel Bakytovna 120b20 BCC Invest JSC (Subsidiary of Bank CenterCredit JSC) stock market

certification completed

11.07.2017

access granted



put on register

Nadirova Aidana Kuatovna 120b21 BCC Invest JSC (Subsidiary of Bank CenterCredit JSC) stock market

certification completed

11.07.2017

access granted



put on register

IndicatorAs of 01.04.19As of 01.01.19
Authorized capital 13 072 437,00 тыс. KZT 13 072 437,00 тыс. KZT
Equity capital 15 158 754,00 тыс. KZT 14 575 514,00 тыс. KZT
Total assets 27 058 497,00 тыс. KZT 27 035 673,00 тыс. KZT
Total liabilities 11 899 743,00 тыс. KZT 12 460 159,00 тыс. KZT
Net income 583 240,00 тыс. KZT 1 469 315,00 тыс. KZT
ROA 2,16% 5,43%
ROE 3,85% 10,08%
Symbol ISIN Board Sector Category Trades Index
CCBN KZ0007786572 main shares standard 13.08.99 KASE
CCBNp KZ000A0H0930 main shares стандарт 20.11.18
KEGC KZ1C00000959 main shares premium 19.12.14 KASE
CCBNb26 KZ2C00002996 main debt securities bonds 19.03.15 KASE_BM*
EUBNb13 KZ2C00002475 main debt securities bonds 30.09.14 KASE_BM*
HCBNb3 KZ2C00003887 main debt securities bonds 05.06.17 KASE_BM*
HCBNb4 KZ2C00004042 main debt securities bonds 25.10.17 KASE_BM*
HCBNb5 KZ2C00004562 main debt securities bonds 07.03.19
HCBNb6 KZ2C00004570 main debt securities bonds 07.03.19
KAFIb6 KZ2C00003788 main debt securities bonds 29.11.16 KASE_BM*
KCELb1 KZ2C00004208 main debt securities облигации 21.02.18
KSYSb1 KZ2P00003528 main debt securities bonds 01.04.16 KASE_BM*
KZAGe2 XS1070363343
main debt securities bonds 02.06.14
LARIb2 KZ2C00001766 main debt securities bonds 17.09.12 KASE_BM*
LARIb3 KZ2C00002418 main debt securities bonds 07.10.13 KASE_BM*
LARIb4 KZ2C00002459 main debt securities bonds 13.01.14
SKKZb11 KZ2C00002319 main debt securities bonds 18.03.09 KASE_BM*
SKKZb23 KZ2C00002194 main debt securities bonds 08.10.10 KASE_BM*
SNRGb2 KZ2C00003986 main debt securities облигации 23.08.17 KASE_BM*