Trade Information

Sustainable Development Bonds (ESG bonds) are aimed at financing projects in the field of ecology, environmental protection and social field. They are represented by green bonds, social bonds and other bonds issued specifically to finance sustainable development projects.

The compliance of green, social or other bonds issued to finance sustainable development projects with the applicable principles and standards is determined by the relevant authorized body or organizations that independently evaluate funding projects aimed at issuing sustainable development bonds, the list of which is determined by the Exchange.

In order to develop the ESG business, KASE provides relief for the payment of listing fees to issuers of sustainable development bonds, as well as appropriate consulting support.

Ticker Company ISIN Type
FRMPb3 JSC "Damu" Entrepreneurship development fund" KZ2C00008068 bonds
JSBNb2 "Otbasy bank" house construction savings bank JSC KZ2C00011658 bonds
JSBNb3 "Otbasy bank" house construction savings bank JSC KZ2C00011740 bonds
JSBNb4 "Otbasy bank" house construction savings bank JSC KZ2C00011757 bonds
ASDBe6 Asian Development Bank XS2294363416 international bonds
ASDBe9 Asian Development Bank XS2444205756 international bonds
MFOKb11 "Microfinance Organization OnlineKazFinance" JSC KZ2C00009769 bonds
ASDBe15 Asian Development Bank XS2610164944 international bonds
MFACb2 LLP "MFO "Arnur Credit" KZ2P00010226 bonds
JETGe1 JET Group Ltd. KZX000001870 bonds
KEGCb4 JSC "KEGOC" KZ2C00007797 bonds
ACARb1 "A-cars" LLP KZ2P00011364 bonds
AGQAb1 "AGRIQA Asia" LLP KZ2P00012297 bonds
BKBTb1 "Black Biotechnology (Black Biotechnology)" LLP KZ2P00010317 bonds
HSBKb22 Halyk Bank of Kazakhstan JSC KZ2C00012482 bonds
BRKZb25 Development Bank of Kazakhstan JSC KZ2C00008605 bonds
BRKZb32 Development Bank of Kazakhstan JSC KZ2C00009637 bonds
BRKZb33 Development Bank of Kazakhstan JSC KZ2C00009645 bonds
ASDBe13 Asian Development Bank XS2571803019 international bonds
KZWEb1 KazWind Energy LLP KZ2P00010119 bonds
BRKZe15 Development Bank of Kazakhstan JSC XS2800066370 international bonds
Ticker Company ISIN Type
Ticker Company ISIN Type
Ticker Company ISIN Type
Ticker Company ISIN Type
FRMPb3 JSC "Damu" Entrepreneurship development fund" KZ2C00008068 bonds
JSBNb2 "Otbasy bank" house construction savings bank JSC KZ2C00011658 bonds
JSBNb3 "Otbasy bank" house construction savings bank JSC KZ2C00011740 bonds
JSBNb4 "Otbasy bank" house construction savings bank JSC KZ2C00011757 bonds
ASDBe6 Asian Development Bank XS2294363416 international bonds
ASDBe9 Asian Development Bank XS2444205756 international bonds
MFOKb11 "Microfinance Organization OnlineKazFinance" JSC KZ2C00009769 bonds
ASDBe15 Asian Development Bank XS2610164944 international bonds
MFACb2 LLP "MFO "Arnur Credit" KZ2P00010226 bonds
Ticker Company ISIN Type
JETGe1 JET Group Ltd. KZX000001870 bonds
KEGCb4 JSC "KEGOC" KZ2C00007797 bonds
ACARb1 "A-cars" LLP KZ2P00011364 bonds
AGQAb1 "AGRIQA Asia" LLP KZ2P00012297 bonds
BKBTb1 "Black Biotechnology (Black Biotechnology)" LLP KZ2P00010317 bonds
HSBKb22 Halyk Bank of Kazakhstan JSC KZ2C00012482 bonds
BRKZb25 Development Bank of Kazakhstan JSC KZ2C00008605 bonds
BRKZb32 Development Bank of Kazakhstan JSC KZ2C00009637 bonds
BRKZb33 Development Bank of Kazakhstan JSC KZ2C00009645 bonds
ASDBe13 Asian Development Bank XS2571803019 international bonds
KZWEb1 KazWind Energy LLP KZ2P00010119 bonds
Ticker Company ISIN Type
BRKZe15 Development Bank of Kazakhstan JSC XS2800066370 international bonds
Settlement Date Last value Change to previous value, % Change from the beginning of the month, % Change from the beginning of the year, %
KASE_ESGB_CP 22.11.24 99,8542 +0,02 +0,51
KASE_ESGB_DP 22.11.24 105,2130 +0,07 +0,24
KASE_ESGB_Y 22.11.24 17,82 -0,34 -1,93
Duration 22.11.24 2,39 0 -1,65
KASE_ESGB_CP — index of "clean" prices reflecting the change in the value of sustainable development bonds (ESG bonds) of the Exchange's official list, aimed at financing projects in the field of ecology, environmental protection and socially significant projects, calculated at prices excluding accrued and unpaid coupon interest, %
KASE_ESGB_DP – index of "dirty" prices, reflecting the change in the value of ESG bonds of the Exchange's official list, calculated at prices taking into account the accrued coupon interest and reinvested coupon payment, %
KASE_ESGB_Y – ESG bond yield indicator, in percent per annum
Duration – duration of the ESG bond index, in years.