Trade Information

AGKKb5

unsecured coupon KZ2C00003283
Agrarian Credit Corporation JSC
Current coupon rate, % APR: 8,000
Days to maturity: 1 091
Circulation period: 17.06.15 – 17.12.22
В связи с внедрением ASTS+ возможны перебои с обновлением информации на сайте
Date/Period Bid Offer Last W-aver High Low Trade Bonds m. KZT th. USD
06.12.19 0 0 0,0 0
05.12.19 0 0 0,0 0
Last 52 weeks 0 0 0,0 0
Date/Period Bid Offer Last W-aver High Low Trade Bonds m. KZT th. USD
06.12.19 0 0 0,0 0
05.12.19 0 0 0,0 0
Last 52 weeks 0 0 0,0 0
Date/Period Bid Offer Last W-aver High Low Trade Bonds m. KZT th. USD
06.12.19 0 0 0,0 0
05.12.19 0,00 0 0 0,0 0
Last 52 weeks 0 0 0,0 0

Other securities Agrarian Credit Corporation JSC

Symbol ISIN Board Sector Category Trades Index
AGKKb4 KZ2C00002731 main debt securities bonds 31.12.14
AGKKb5 KZ2C00003283 main debt securities bonds 11.09.15
AGKKb6 KZ2C00003507 main debt securities bonds 04.03.16
AGKKb7 KZ2C00003796 main debt securities bonds 13.09.17
AGKKb8 KZ2C00003804 main debt securities bonds no trade
AGKKb10 KZ2C00006047 main debt securities коммерческие облигации no trade
AGKKb11 KZ2C00006120 main debt securities облигации no trade
AGKKb12 KZ2C00006161 main debt securities облигации 25.11.19
Trading code:
AGKKb5
System of quotation:
clean price
Unit of quotation:
nominal value percentage fraction
Quotation currency:
KZT
Quotation accuracy:
4 characters
Trade lists admission date:
17.06.15
Trade opening date:
trades suspended
KASE_B* list inclusion date:
Market makers:
absent
Bond's name:
unsecured coupon bonds
CFI:
DBFUFR
ISIN:
KZ2C00003283
Current coupon rate, % APR
8,000
Bond credit ratings:
Fitch Ratings: http://www.fitchratings.com
Standard & Poor's: BB (30.11.18)
Currency of issue and service:
KZT
Nominal value in issue's currency:
1 000,00
Number of registered bonds:
20 000 000
Issue volume, KZT:
20 000 000 000
Number of bonds outstanding:
18 184 787
Issue's number in state register:
E70-2
Issue registration date:
29.05.15
Program's number in state register:
E70
Program registration date:
30.05.14
Currency of program registration, :
KZT
Program's volume, KZT:
30 000 000 000
Coupon rate type:
фиксированная
Settlement basis (days in month / days in year:
30/360
Date of circulation start:
17.06.15
Bonds type by circulation period:
timed
Circulation term, years:
7.5
Date of the previous coupon payment:
17.06.19
Number of days till nearest coupon payment:
12
Registry fixation date of the nearest coupon payment:
16.12.19
Period of the next coupon payment:
17.12.19 – 31.12.19
Coupon payment schedule:
Register fixation date at maturity:
16.12.22
Name of issuer's financial cinsultant:
Subsidiary organization of Halyk Bank of Kazakhstan Halyk Finance JSC
Registrar:
Central securities depository JSC (Almaty)