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FNACpp3
FNACpp3
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Registration
coupon bonds KZ2D00009651
"Finaccord Limited" Private company
Trades
Characteristics of the securities
Prospectuses
News
Trades
Other securities "Finaccord Limited" Private company
Symbol
ISIN
Board
Sector
Category
Trades
Index
FNACpp1
KZ2D00009214
private placement
debt securities
–
–
–
FNACpp2
KZ2D00009354
private placement
debt securities
–
–
–
FNACpp3
KZ2D00009651
private placement
debt securities
–
–
–
Characteristics of the securities
Trading code:
FNACpp3
List of securities:
official, private placement board, category "None"
System of quotation:
clean price
Unit of quotation:
nominal value percentage fraction
Trade lists admission date:
03.04.23
Market Makers:
absent
Bond's name:
coupon bonds
ISIN:
KZ2D00009651
Currency of issue and service:
USD
Nominal value in issue's currency:
100 000,00
Number of registered bonds:
2 000
Issue volume, USD:
200 000 000
Circulation term, years:
5,00
Date of the previous coupon payment:
10.10.24
Registrar:
АО "Центральный депозитарий ценных бумаг" (Алматы)
Admission initiator:
"Finaccord Limited" Private company
Prospectuses
News
Highlighted news contain information on the company ratings
03.04.23 18:58
From April 3 bonds KZ2D00009651 (FNACpp3) of "Finaccord Limited" Private company included in KASE official list's "Private placement" market
03.04.23 16:46
Listing commission of KASE decided to include bonds KZ2D00009651 (FNACpp3) of "Finaccord Limited" Private company in KASE official list's "Private placement" market
03.02.23 17:01
As of February 3 bonds KZ2D00009354 (FNACpp2) of "Finaccord Limited" Private company included in KASE official list's "Private placement" market
03.02.23 14:00
Listing commission of KASE decided to include bonds KZ2D00009354 (FNACpp2) of "Finaccord Limited" Private company in KASE official list's "Private placement" market
14.12.22 15:02
From December 14 bonds KZ2D00009214 (FNACpp1) of Private company "Finaccord Limited" included in KASE official list's "Private placement" market
13.12.22 15:56
KASE's Listing commission made decision to include bonds KZ2D00009214 (FNACpp1) of Private company "Finaccord Limited" in KASE official list's "Private placement" market
All issuer news
№
Coupon payment start date
Rate, % APR
Register fixing date
Payment closing date
1
10.10.23
5,50
09.10.23
29.10.23
2
10.04.24
5,50
09.04.24
29.04.24
3
10.10.24
5,50
09.10.24
29.10.24
4
10.04.25
5,50
09.04.25
29.04.25
5
10.10.25
5,50
09.10.25
29.10.25
6
10.04.26
5,50
09.04.26
29.04.26
7
10.10.26
5,50
09.10.26
29.10.26
8
10.04.27
5,50
09.04.27
29.04.27
9
10.10.27
5,50
09.10.27
29.10.27
10
10.04.28
5,50
09.04.28
29.04.28
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