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25 September 2026, 07:02
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KZIKb38

JSC "Kazakhstan Housing Company" coupon bonds KZ2C00007649 Last coupon rate, % APR : 4,050
Days to maturity: 3 526
Circulation period: 11.07.24 – 11.07.36
Trades
Characteristics of the securities

Other securities

Symbol ISINBoardSectorCategoryTradesIndex
BTDVb4 KZ2C00006807
maindebt securities облигации 21.09.20 –
BTDVb5 KZ2C00006815
maindebt securities облигации 07.12.20 –
BTDVb6 KZ2C00006823
maindebt securities облигации 29.10.20 –
BTDVb7 KZ2C00006831
maindebt securities облигации 29.10.20 –
KZIK KZ1C00000637
mainshares standard 09.11.09 –
KZIKb27 KZ2C00003333
maindebt securities bonds 25.12.17 –
KZIKb28 KZ2C00004356
maindebt securities bonds 12.07.19 –
KZIKb29 KZ2C00004349
maindebt securities bonds 13.08.20 –
KZIKb31 KZ2C00006401
maindebt securities bonds 11.04.24 –
KZIKb32 KZ2C00007086
maindebt securities облигации 07.04.21 –
KZIKb33 KZ2C00007094
maindebt securities облигации 08.01.21 –
KZIKb34 KZ2C00007409
maindebt securities облигации 20.09.24 –
KZIKb35 KZ2C00007631
maindebt securities облигации 22.02.22 –
KZIKb36 KZ2C00007839
maindebt securities облигации 28.10.21 –
KZIKb37 KZ2C00007854
maindebt securities облигации 23.09.24 –
KZIKb38 KZ2C00007649
maindebt securities bonds 20.09.24 –
KZIKb39 KZ2C00014736
maindebt securities bonds 28.07.25 –
KZIKb40 KZ2C00014744
maindebt securities bonds 18.09.25 –
KZIKb41 KZ2C00014751
maindebt securities bonds 18.09.25 –
KZIKb42 KZ2C00014769
maindebt securities bonds 07.11.25 –
KZIKb43 KZ2C00015956
maindebt securities bonds 23.09.26 –
KZIKb44 KZ2C00015964
maindebt securities bonds - –
KZIKb45 KZ2C00015931
maindebt securities bonds 21.07.26 –
KZIKb46 KZ2C00015949
maindebt securities bonds 02.07.26 –

Actual information

INFORMATION KASE Rules
FOR INVESTORS Issuers
FOR MEMBERS Members of the Exchange
INFORMATION Trading results
INFORMATION Auction Viewing
FOR MEMBERS Trading and Clearing Shedule