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24 September 2026, 16:05
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TSSPb1

LLP "TSSP Group" coupon bonds KZ2P00008113 Last coupon rate, % APR : 18,000
Days to maturity: 646
Circulation period: 10.07.25 – 10.07.28
Trades
Characteristics of the securities
Summary data
clean price
gross price
yield
Date/PeriodBidOfferLastW-averHighLowTrade Bonds m. KZTth. USD
24.09.26 (14:46) 99,4999 98,4936 99,4000 99,4075 99,4999 98,4936 7 39 0,040 0,090
23.09.26 99,4999 98,4910 99,4999 98,5707 99,4999 98,4909 14 189 0,193 0,431
From 15.07.25 139,0000 51,0000 99,4000 92,4120 101,5298 52,0003 6 039 515 544 485,9 948,5

The last 10 deals in the last 52 weeks

clean price
gross price
yield
Date Deal time Price, value Price, trend % Volume, pcsVolume, mln KZTVolume, USD th.
24.09.26 13:23:03 99,4000
0
4 0,004 0,009
24.09.26 12:36:13 99,4000
0
19 0,020 0,044
24.09.26 12:15:11 99,4000
-0,10
3 0,003 0,007
24.09.26 11:46:51 99,4998
0
9 0,009 0,021
24.09.26 11:42:52 99,4998
+1,02
2 0,002 0,005
24.09.26 11:40:29 98,4936
-1,01
1 0,001 0,002
24.09.26 11:37:31 99,4999
0
1 0,001 0,002
23.09.26 15:49:13 99,4999
+1,02
1 0,001 0,002
23.09.26 15:20:38 98,5000
-1,00
1 0,001 0,002
23.09.26 14:49:49 99,4999
0
1 0,001 0,002

Other securities

Symbol ISINBoardSectorCategoryTradesIndex
TSSPb1 KZ2P00008113
maindebt securities облигации 15.07.25
TSSPb6 KZ2P00014301
maindebt securities commercial bonds 03.12.25
TSSPb7 KZ2P00014327
maindebt securities commercial bonds 08.12.25

Actual information

INFORMATION KASE Rules
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