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/
Money market/
Composite indexes
MM Index
MBM index
17,49
+0,58
Time of recent data: 18:00
The Money Market Index is a composite indicator of the money market, which represents the weighted average value of weighted average interest rates (yields) on USD/KZT currency swap operations and automatic repo operations with securities of the GS Basket open for one business day. The indicator is calculated for all swap and repo opening transactions concluded in the KASE trading system during the day
Change, month to date | -0,34 (-1,91 %) |
Change, year to date | +2,49 (+16,60 %) |
Maximum for 52 weeks | 17,98 |
Minimum for 52 weeks | 13,96 |
Volume of transactions, bln KZT | 844,5 |
Weight of MM Index component
TONIA | 89,45 % |
SWAP-1D (USD) | 10,55 % |
Archive
Event digest
Go to the newsReview of KASE equity market in March 2026
National Investment Holding "Baiterek" redeems bonds KZ2C00012987 (BTRKb18)
Kazakhstan Sustainability Fund"redeemed bonds KZ2C00009462 (KFUSb54)
National company Food contract corporation redeems international bonds RU000A102BF7 (PRKRe1)
BASS Gold redeems bonds KZ2P00013592 (FPSTb6)
Agrarian Credit Corporation redeems bonds KZ2C00013001 (AGKKpp6)
Lombard "GoldFinMarket" redeems bonds KZ2P00011877 (MFLGb1)
Development Bank of Kazakhstan redeems international bonds XS0248160102 (BRKZe4)
HALYK FINANCE ANNOUNCES COMPLETION OF BOOK BUILDING FOR THE OFFERING OF TENGE-DENOMINATED EUROBONDS BY NATIONAL INVESTMENT HOLDING "BAITEREK"
HALYK FINANCE ANNOUNCES COMPLETION OF BOOK BUILDING FOR THE OFFERING OF TENGE-DENOMINATED EUROBONDS BY NATIONAL INVESTMENT HOLDING "BAITEREK"
HALYK FINANCE ANNOUNCES BOOK BUILDING FOR THE OFFERING OF TENGE-DENOMINATED EUROBONDS BY NATIONAL INVESTMENT HOLDING "BAITEREK"
HALYK FINANCE ANNOUNCES BOOK BUILDING FOR THE OFFERING OF TENGE-DENOMINATED EUROBONDS BY NATIONAL INVESTMENT HOLDING "BAITEREK"