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26 September 2026, 16:14
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TSSPb1

LLP "TSSP Group" coupon bonds KZ2P00008113 Last coupon rate, % APR : 18,000
Days to maturity: 644
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
25.09.26 (17:02) 99,3999 98,4963 99,3999 98,5042 99,3999 98,4963 7 3 677 3,8 8,5
24.09.26 99,4999 98,4936 98,4950 99,3630 99,4999 98,4936 8 41 0,042 0,095
From 15.07.25 139,0000 51,0000 99,3999 92,4552 101,5298 52,0003 6 047 519 223 489,7 957,0

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.
25.09.26 15:55:12 99,3999
0
9 0,009 0,021
25.09.26 15:41:19 99,3999
+0,92
8 0,008 0,019
25.09.26 14:32:12 98,4963
0
656 0,671 1,52
25.09.26 13:12:51 98,4963
-0,91
6 0,006 0,014
25.09.26 12:32:23 99,3999
+0,92
15 0,015 0,035
25.09.26 12:28:13 98,4963
0
59 0,060 0,137
25.09.26 11:45:17 98,4963
0,00
2 924 2,99 6,77
24.09.26 16:28:53 98,4950
-0,91
2 0,002 0,005
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

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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INFORMATION Trading results
INFORMATION Auction Viewing
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