KASE Index 7 842,91 TONIA 18,19 TRION 18,24 TWINA 18,30 SWAP-1D 14,26 SWAP-2D 13,90 MM_INDEX 17,69 MBM_INDEX 1 212,16 USDKZT_TOM 463,09 CNYKZT_TOD 67,65 EURKZT_TOM 541,61 RUBKZT_TOM 6,19 EURUSD_TOM 1,17 USDCNY_TOD 6,83 KZGB_CPm1m 921,88 KZGB_DPm1m 1 210,70 KASE_ESGB_Y 20,09 KASE_BMC 96,55
+0,61 %
-1,20 %
-0,87 %
-0,49 %
+2,59 %
+1,31 %
+0,68 %
+0,08 %
+0,29 %
+0,63 %
+0,38 %
+0,58 %
+0,03 %
-2,01 %
+0,06 %
+0,09 %
+0,30 %
-0,18 %
KASE Index 7 842,91 TONIA 18,19 TRION 18,24 TWINA 18,30 SWAP-1D 14,26 SWAP-2D 13,90 MM_INDEX 17,69 MBM_INDEX 1 212,16 USDKZT_TOM 463,09 CNYKZT_TOD 67,65 EURKZT_TOM 541,61 RUBKZT_TOM 6,19 EURUSD_TOM 1,17 USDCNY_TOD 6,83 KZGB_CPm1m 921,88 KZGB_DPm1m 1 210,70 KASE_ESGB_Y 20,09 KASE_BMC 96,55
+0,61 %
-1,20 %
-0,87 %
-0,49 %
+2,59 %
+1,31 %
+0,68 %
+0,08 %
+0,29 %
+0,63 %
+0,38 %
+0,58 %
+0,03 %
-2,01 %
+0,06 %
+0,09 %
+0,30 %
-0,18 %
KASE Index 7 842,91 TONIA 18,19 TRION 18,24 TWINA 18,30 SWAP-1D 14,26 SWAP-2D 13,90 MM_INDEX 17,69 MBM_INDEX 1 212,16 USDKZT_TOM 463,09 CNYKZT_TOD 67,65 EURKZT_TOM 541,61 RUBKZT_TOM 6,19 EURUSD_TOM 1,17 USDCNY_TOD 6,83 KZGB_CPm1m 921,88 KZGB_DPm1m 1 210,70 KASE_ESGB_Y 20,09 KASE_BMC 96,55
+0,61 %
-1,20 %
-0,87 %
-0,49 %
+2,59 %
+1,31 %
+0,68 %
+0,08 %
+0,29 %
+0,63 %
+0,38 %
+0,58 %
+0,03 %
-2,01 %
+0,06 %
+0,09 %
+0,30 %
-0,18 %
Indices/
Money market/
Composite indexes
MM Index
MBM index
1 212,16
+0,08
Time of recent data: 11:30
MBM index is a composite index of the money market and the government securities market of the Republic of Kazakhstan (GS) and reflects the dynamics of the reference portfolio with weights of 25 % of the money market (TCI) and 75% of the total income index (KZGB_DPm1m)
Change per day | +0,95 (+0,08 %) |
Change, month to date | +12,15 (+1,01 %) |
Change per month | +12,72 (+1,06 %) |
Change, year to date | +67,49 (+5,90 %) |
Duration | 2,51 |
ModDuration | 2,18 |
Weight of MBM Index component
KZGB_DPm1m | 75,00% |
TCI | 25,00% |
Indicators update time: daily from 11:30 am to 8:00 pm (GMT +05:00)
Archive
Event digest
Go to the newsHALYK FINANCE JSC ANNOUNCES SETTLEMENT DATE FOR DOLLAR-DENOMINATED EUROBONDS OF NATIONAL COMPANY "QAZAQGAZ" JSC
HALYK FINANCE JSC ANNOUNCES COMPLETION OF THE BOOKBUILDING FOR THE OFFERING OF DOLLAR-DENOMINATED EUROBONDS OF NATIONAL COMPANY "QAZAQGAZ" JSC
HALYK FINANCE JSC ANNOUNCES EXTENSION OF ORDER COLLECTION FOR THE OFFERING OF DOLLAR-DENOMINATED EUROBONDS OF NATIONAL COMPANY "QAZAQGAZ" JSC
HALYK FINANCE JSC ANNOUNCES FINAL PRICE BENCHMARK AND EXTENSION OF ORDER COLLECTION FOR THE OFFERING OF DOLLAR-DENOMINATED EUROBONDS OF NATIONAL COMPANY "QAZAQGAZ" JSC
HALYK FINANCE JSC ANNOUNCES EXTENSION OF ORDER COLLECTION FOR THE OFFERING OF DOLLAR-DENOMINATED EUROBONDS OF NATIONAL COMPANY "QAZAQGAZ" JSC
HALYK FINANCE JSC ANNOUNCES EXTENSION OF ORDER COLLECTION FOR THE OFFERING OF DOLLAR-DENOMINATED EUROBONDS OF NATIONAL COMPANY "QAZAQGAZ" JSC
HALYK FINANCE JSC ANNOUNCES CHANGE IN PRICE BENCHMARK AND EXTENSION OF ORDER COLLECTION FOR THE OFFERING OF DOLLAR-DENOMINATED EUROBONDS OF NATIONAL COMPANY "QAZAQGAZ" JSC
HALYK FINANCE ANNOUNCES SETTLEMENT DATE FOR DOLLAR-DENOMINATED EUROBONDS OF NATIONAL INVESTMENT HOLDING "BAITEREK"
HALYK FINANCE JSC ANNOUNCES BOOKBUILDING FOR THE OFFERING OF DOLLAR-DENOMINATED EUROBONDS OF NATIONAL COMPANY "QAZAQGAZ" JSC
Orbis Leasing redeemed bonds KZ2P00013832 (ORBSb5)
HALYK FINANCE ANNOUNCES FINAL YIELD TO MATURITY AND CLOSURE OF ORDER BOOK FOR THE OFFERING OF DOLLAR-DENOMINATED EUROBONDS OF NATIONAL INVESTMENT HOLDING "BAITEREK"
HALYK FINANCE ANNOUNCES FINAL PRICE BENCHMARK AND EXTENSION OF ORDER COLLECTION FOR THE OFFERING OF DOLLAR-DENOMINATED EUROBONDS OF NATIONAL INVESTMENT HOLDING "BAITEREK"