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STARpp1
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Registration
coupon bonds KZ2P00010143 (KZ2P00010143)
"Start Industries" LLP
Trades
Characteristics of the securities
Prospectuses
News
Trades
Other securities "Start Industries" LLP
Symbol
ISIN
Board
Sector
Category
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Index
STARpp1
KZ2P00010143
private placement
debt securities
–
–
–
Characteristics of the securities
Trading code:
STARpp1
List of securities:
official, private placement board, category "None"
System of quotation:
clean price
Unit of quotation:
nominal value percentage fraction
Quotation currency:
KZT
Trade lists admission date:
31.10.23
Market Makers:
absent
Bond's name:
coupon bonds
ISIN:
KZ2P00010143
ISIN:
KZ2P00010143
Currency of issue and service:
KZT
Nominal value in issue's currency:
1 000,00
Number of registered bonds:
5 000 000
Issue volume, KZT:
5 000 000 000
Circulation term, years:
10,00
Date of the previous coupon payment:
02.11.24
Name of issuer's financial cinsultant:
JSC "SkyBridge Invest"
Admission initiator:
"Start Industries" LLP
Prospectuses
News
Highlighted news contain information on the company ratings
05.02.25 14:00
KASE posts on own website January review of PMI of Kazakhstan's manufacturing sector by Freedom Holding Corp.
05.02.25 11:22
Special trading session for offering of 40.0 mln bonds KZ2C00010023 (PRKRb9) of National company Food contract corporation will be held on KASE on February 7
05.02.25 11:19
Special trading session for offering of 20.0 mln bonds KZ2C00008464 (PRKRb7) of National company Food contract corporation will be held on KASE on February 7
05.02.25 09:05
Special trading session for offering of 640,000 bonds KZ2C00011468 (HSBKb21) of Halyk Bank of Kazakhstan is held on KASE today
04.02.25 17:52
Special trading session for offering on February 4 on KASE of MEUKAM KZKD00001194 (MUM180_0016) of Ministry of Finance of Republic of Kazakhstan declared failed
04.02.25 15:01
Special trading session for additional offering of MEKKAM KZK100000373 (MKM012_0160) with settlement on February 6 and maturity of 365 days will be held on KASE today from 15:30 to 16:00 o'clock
04.02.25 12:37
Special trading session for offering of 10.0 mln bonds KZ2C00012086 (KFUSb82) of Kazakhstan Sustainability Fund will be held on KASE on February 6
04.02.25 09:09
/REPEAT/ Special trading session for offering of 640,000 bonds KZ2C00011468 (HSBKb21) of Halyk Bank of Kazakhstan will be held on KASE on February 5
04.02.25 09:00
Special trading session for purchase of bonds KZ2P00009970 (RGBKb2) of RG Brands Kazakhstan is held on KASE today
04.02.25 08:54
Special trading session for offering of MEKKAM KZK100000373 (MKM012_0160) with settlement on February 6 and maturity of 365 days is held on KASE today
All issuer news
№
Coupon payment start date
Rate, % APR
Register fixing date
Payment closing date
1
02.11.24
8,00
01.11.24
11.11.24
2
02.11.25
8,00
01.11.25
11.11.25
3
02.11.26
8,00
01.11.26
11.11.26
4
02.11.27
8,00
01.11.27
11.11.27
5
02.11.28
8,00
01.11.28
11.11.28
6
02.11.29
8,00
01.11.29
11.11.29
7
02.11.30
8,00
01.11.30
11.11.30
8
02.11.31
8,00
01.11.31
11.11.31
9
02.11.32
8,00
01.11.32
11.11.32
10
02.11.33
8,00
01.11.33
11.11.33
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