KASE Index 7 727,89 TONIA 17,90 TRION 17,87 TWINA 17,75 SWAP-1D 14,04 SWAP-2D 13,44 MM_INDEX 17,49 MBM_INDEX 1 196,21 USDKZT_TOM 470,40 CNYKZT_TOD 68,56 EURKZT_TOM 545,68 RUBKZT_TOM 5,89 EURUSD_TOM 1,15 USDCNY_TOD 6,97 KZGB_CPm1m 917,26 KZGB_DPm1m 1 194,80 KASE_ESGB_Y 19,68 KASE_BMC 96,59
+0,43 %
-1,00 %
-1,11 %
-0,84 %
-4,10 %
-5,68 %
+0,58 %
-0,20 %
-0,43 %
-0,56 %
+0,18 %
+0,16 %
-0,36 %
-0,29 %
-0,32 %
-0,28 %
+2,23 %
-0,07 %
KASE Index 7 727,89 TONIA 17,90 TRION 17,87 TWINA 17,75 SWAP-1D 14,04 SWAP-2D 13,44 MM_INDEX 17,49 MBM_INDEX 1 196,21 USDKZT_TOM 470,40 CNYKZT_TOD 68,56 EURKZT_TOM 545,68 RUBKZT_TOM 5,89 EURUSD_TOM 1,15 USDCNY_TOD 6,97 KZGB_CPm1m 917,26 KZGB_DPm1m 1 194,80 KASE_ESGB_Y 19,68 KASE_BMC 96,59
+0,43 %
-1,00 %
-1,11 %
-0,84 %
-4,10 %
-5,68 %
+0,58 %
-0,20 %
-0,43 %
-0,56 %
+0,18 %
+0,16 %
-0,36 %
-0,29 %
-0,32 %
-0,28 %
+2,23 %
-0,07 %
KASE Index 7 727,89 TONIA 17,90 TRION 17,87 TWINA 17,75 SWAP-1D 14,04 SWAP-2D 13,44 MM_INDEX 17,49 MBM_INDEX 1 196,21 USDKZT_TOM 470,40 CNYKZT_TOD 68,56 EURKZT_TOM 545,68 RUBKZT_TOM 5,89 EURUSD_TOM 1,15 USDCNY_TOD 6,97 KZGB_CPm1m 917,26 KZGB_DPm1m 1 194,80 KASE_ESGB_Y 19,68 KASE_BMC 96,59
+0,43 %
-1,00 %
-1,11 %
-0,84 %
-4,10 %
-5,68 %
+0,58 %
-0,20 %
-0,43 %
-0,56 %
+0,18 %
+0,16 %
-0,36 %
-0,29 %
-0,32 %
-0,28 %
+2,23 %
-0,07 %
Indices/
Stock market/
Corporate bonds
KASE_BM Series
KASE_KZ3BUP Series
KASE_US3BUP Series
Nominal value of debt
KASE_KZ3_CP
KASE_KZ3_TR
KASE_KZ3_Y
99,4686
+0,0121
Time of recent data: 17:30
Index of "clean" prices reflecting changes in the value of KZT-denominated corporate bonds with an international credit rating of BBB- or higher, calculated at prices excluding accrued and unpaid coupon interest
Change, month to date | – – |
Change, year to date | – – |
Maximum for 52 weeks | 100,0000 |
Minimum for 52 weeks | 99,4566 |
Historical maximum | 100,0000 |
Historical minimum | 99,4566 |
Duration | 2,2 |
Indicator update time: daily on business days after the end of trading from 17:30 to 20:00 (GMT +05:00)
Indicator change: calculated when the indicator is published relative to the value of the previous trading day
Archive
Event digest
Go to the newsCentras Securities paid dividends on common shares KZ1C00009562 (CSEC) for 2025
Industrial and Commercial Bank of China in Almaty admitted to trading in securities on KASE, effective April 3
SFC "SMK FF-1" paid fifth coupon on bonds KZ2P00014632 (SFKFb1)
SFC "SMK FF-1" paid fifth coupon on bonds KZ2P00014632 (SFKFb1)
Lombard "GoldFinMarket" paid second coupon on bonds KZ2P00015696 (MFLGb22)
Review of KASE equity market in March 2026
Jusan Mobile paid second coupon on bonds KZ2C00012961 (KZTCb3)
National Investment Holding "Baiterek" redeems bonds KZ2C00012987 (BTRKb18)
AK Altynalmas intends to pay dividends on preferred shares for the first quarter of 2026
Tengri Partners Investment Banking (Kazakhstan) intends to pay dividends on common shares KZ1C00007665 (TPIB) for 2025
Effective April 3, trading in Expert Leasing bonds KZ2P00016470 (EXLSb1) will open on KASE
Capital Leasing Group paid second coupon on bonds KZ2P00015506 (CLSGb8)