Indicators of the corporate bond market
The Exchange calculates and publishes:
- indicators of the corporate bond market of the main site
- the total nominal value of the corporate bond market


KASE Index 7 700,04 TONIA 16,79 TRION 16,82 TWINA 16,70 SWAP-1D 12,53 SWAP-2D 12,56 MM_INDEX 15,86 MBM_INDEX 1 277,50 USDKZT_TOM 470,53 CNYKZT_TOD 69,11 EURKZT_TOM 538,88 RUBKZT_TOM 6,05 EURUSD_TOM 1,14 USDCNY_TOD 6,77 KZGB_CPm1m 955,38 KZGB_DPm1m 1 282,73 KASE_ESGB_Y 18,65 KASE_BMC 97,50
+0,42 %
0 %
+0,18 %
-1,47 %
-1,73 %
-1,26 %
+0,63 %
+0,04 %
+0,34 %
+0,06 %
+0,60 %
-0,48 %
+0,31 %
-0,59 %
+0,00 %
+0,03 %
+0,05 %
-0,20 %
KASE Index 7 700,04 TONIA 16,79 TRION 16,82 TWINA 16,70 SWAP-1D 12,53 SWAP-2D 12,56 MM_INDEX 15,86 MBM_INDEX 1 277,50 USDKZT_TOM 470,53 CNYKZT_TOD 69,11 EURKZT_TOM 538,88 RUBKZT_TOM 6,05 EURUSD_TOM 1,14 USDCNY_TOD 6,77 KZGB_CPm1m 955,38 KZGB_DPm1m 1 282,73 KASE_ESGB_Y 18,65 KASE_BMC 97,50
+0,42 %
0 %
+0,18 %
-1,47 %
-1,73 %
-1,26 %
+0,63 %
+0,04 %
+0,34 %
+0,06 %
+0,60 %
-0,48 %
+0,31 %
-0,59 %
+0,00 %
+0,03 %
+0,05 %
-0,20 %
KASE Index 7 700,04 TONIA 16,79 TRION 16,82 TWINA 16,70 SWAP-1D 12,53 SWAP-2D 12,56 MM_INDEX 15,86 MBM_INDEX 1 277,50 USDKZT_TOM 470,53 CNYKZT_TOD 69,11 EURKZT_TOM 538,88 RUBKZT_TOM 6,05 EURUSD_TOM 1,14 USDCNY_TOD 6,77 KZGB_CPm1m 955,38 KZGB_DPm1m 1 282,73 KASE_ESGB_Y 18,65 KASE_BMC 97,50
+0,42 %
0 %
+0,18 %
-1,47 %
-1,73 %
-1,26 %
+0,63 %
+0,04 %
+0,34 %
+0,06 %
+0,60 %
-0,48 %
+0,31 %
-0,59 %
+0,00 %
+0,03 %
+0,05 %
-0,20 %
106,1645
+0,5007
Time of recent data: 17:30
A total return index reflecting changes in the value of KZT-denominated corporate bonds with an international credit rating of BBB- or higher, taking into account accrued, paid, and reinvested coupon payments, calculated in %
Change, month to date +0,4927 (+0,4663 %) |
Change, year to date – – |
Maximum for 52 weeks 107,3095 |
Minimum for 52 weeks 102,0516 |
Historical maximum 107,3095 |
Historical minimum 102,0516 |
Duration 2,0 |
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 newsInformation on shares and shareholders of Kaspi.kz as of July 1, 2026
Information on shares and shareholders of "ForteBank" as of July 1, 2026
Agrarian Credit Corporation JSC raised on KASE 15.0 bln KZT on July 15 by placing bonds KZ2C00018851 (AGKKb24) at 17.45% per annum
Kazakhstan Sustainability Fund JSC redeemed bonds KZ2C00009470 (KFUSb55)
MFO Arnur Credit LLP paid the first coupon on bonds KZ2P00014426 (MFACb4)
Alatau City Bank JSC paid 38th coupon on bonds KZ000A0T9AL7 (TSBNb7)
Kazakhstan Housing Company JSC paid 10th coupon on bonds KZ2C00006401 (KZIKb31)
TSSP Group LLP paid fourth coupon on bonds KZ2P00008113 (TSSPb1)
On July 15, order acceptance time was extended until 12:30 AST for subscription to bonds KZ2C00018851 (AGKKb24) of Agrarian Credit Corporation JSC
Microfinance Organization R-Finance LLP paid fifth coupon on bonds KZ2P00016306 (MFRFb26)
Lombard Progress LLP paid sixth coupon on bonds KZ2P00012479 (MFLPb2)
From July 15, KASE opens trading of bonds KZ2C00018786 (LZGRb18) and KZ2C00018802 (LZGRb19) of Leasing Group JSC