Trade Information

KKGBp

These securities have been delisted from trading lists 20.03.18
preferred share KZ0005416453
Kazkommertsbank JSC
Date/Period Bid Offer Last W-aver High Low Trade Shares m. KZT th. USD
19.06.19 0 0,0 0
18.06.19 0 0,0 0
Last 52 weeks 0 0,0 0

Currently securities of the Kazkommertsbank JSC are not listed on the KASE
Trading code:
KKGBp
Quotation currency:
KZT
Quotation accuracy:
2 characters
Characteristics of the securities:
Т+0
Listing date:
28.12.01
Trades opening date:
no trade
Delisting date:
20.03.18
Market makers:
absent
Issuer:
Kazkommertsbank JSC
Share type:
preferred convertable
CFI:
EPNXFR
ISIN:
KZ0005416453
BBGID:
BBG000D47RL6
Issue registration date:
01.06.17
Registrar:
JSC "Single registrar of securities" (Almaty)
Dividends:
Number of shares outstanding:
124 602 875
Issue currency:
KZT
Face value:
absent
Dividend payment period:
annual, minimum guaranteed size of dividend per one share is $0.04.
18.06.19, 19:16 Development Bank of Kazakhstan raised KZT27.5 bn on KASE selling seven-year bonds KZ2C00005908 (BRKZb15) at 10.00 % APR on June 18
18.06.19, 09:21 Special trading session for offering of 30.0 mln bonds KZ2C00005908 (BRKZb15) of Development Bank of Kazakhstan is held on KASE today
14.06.19, 14:22 /REPEAT/ Special trading session for offering of 30.0 mln bonds KZ2C00005908 (BRKZb15) of Development Bank of Kazakhstan scheduled on KASE for June 18
12.06.19, 16:28 /REPEAT/ Special trading session for offering of bonds KZ2C00005908 (BRKZb15) of Development Bank of Kazakhstan scheduled on KASE for June 18
10.06.19, 14:16 /REPEAT/ Special trading session for offering of 30.0 mln bonds KZ2C00005908 (BRKZb15) of Development Bank of Kazakhstan scheduled on KASE for June 18
06.06.19, 17:13 Special trading session for offering of bonds KZ2C00005908 (BRKZb15) of Development Bank of Kazakhstan scheduled on KASE for June 18
05.06.19, 17:23 Special trading session for offering 30.0 mln bonds KZ2C00005908 (BRKZb15) of Development Bank of Kazakhstan moved from June 6 to June 18
04.06.19, 14:27 Special trading session for offering bonds KZ2C00005908 (BRKZb15) of Development Bank of Kazakhstan scheduled on KASE for June 6
03.06.19, 10:59 Bonds KZ2C00005908 (BRKZb15) and KZ2C00005916 (BRKZb16) of Development Bank of Kazakhstan underwent KASE listing procedure by category "bonds" of main market
29.05.19, 19:38 Almatytemir bought back 204,972,918 pieces of its bonds on KASE KZ2C00001493 (ALTMb1) on May 29 for KZT211.6 mln
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