Trade Information

NTK028_2718

These securities have been delisted from trading lists 10.06.21
discount notes KZW100012829
SI National Bank of the Republic of Kazakhstan
Days to maturity: bond circulation expired
Circulation period: 13.05.21 – 10.06.21
Date/Period Bid Offer Last W-aver High Low Trade Bonds m. KZT th. USD
19.04.24 0 0,0 0,0
18.04.24 0 0,0 0,0
From 13.05.21 99,4286 99,4286 99,4286 99,4286 4 13 895 403 1 381,6 3 242,1
Date/Period Bid Offer Last W-aver High Low Trade Bonds m. KZT th. USD
19.04.24 0 0,0 0,0
18.04.24 0 0,0 0,0
From 13.05.21 99,4286 99,4286 99,4286 99,4286 4 13 895 403 1 381,6 3 242,1
Date/Period Bid Offer Last W-aver High Low Trade Bonds m. KZT th. USD
19.04.24 0 0,0 0,0
18.04.24 0 0,0 0,0
From 13.05.21 8,74 8,74 8,74 8,74 4 13 895 403 1 381,6 3 242,1

Last 10 deals with NTK028_2718
(except for special trading sessions)

Other securities SI National Bank of the Republic of Kazakhstan

Symbol ISIN Sector Trades
NTK029_2848 government securities 03.04.24
Trading code:
NTK028_2718
List of securities:
official, mix board, category "government securities "
System of quotation:
clean price
Unit of quotation:
nominal value percentage fraction
Quotation currency:
KZT
Quotation accuracy:
4 characters
Number of securities in one lot:
1,0
Trade lists admission date:
12.05.21
Trade opening date:
no trade
Trade lists exclusion date:
10.06.21
Market Makers:
absent
Bond's name:
discount notes
ISIN:
KZW100012829
Currency of issue and service:
KZT
Nominal value in issue's currency:
100,00
Number of registered bonds:
5 534 502 848
Issue volume, KZT:
553 450 284 800
Number of bonds outstanding:
5 534 502 848
Settlement basis (days in month / days in year:
actual/365
Date of circulation start:
13.05.21
Circulation term, days:
28
Register fixation date at maturity:
09.06.21
Maturity date:
10.06.21
Paying agent:
Central securities depository JSC (Almaty)
Registrar:
Central securities depository JSC (Almaty)