As of March 30, KASE removed bonds KZ2C00009637 (BRKZb32) of Development Bank of Kazakhstan from representative list of KASE_ESGB* series indicators due to reaching maturity
/KASE, March 30, 2026/ – Kazakhstan Stock Exchange (KASE) has excluded bonds KZ2C00009637 (BRKZb32) of Development Bank of Kazakhstan JSC from the representative list for calculating KASE_ESGB* series indicators, effective March 30, 2026, due to their maturity.
As of March 30, 2026, the representative list of KASE_ESGB* series indicators will consist of bonds of 18 names.
KASE_ESGB_CP – index of "clean prices" of ESG bonds, calculated based on prices excluding accrued and unpaid coupon interest, %.
KASE_ESGB_DP – index of "dirty prices" of ESG bonds, calculated based on prices taking into account accrued coupon interest and reinvested coupon payment, %.
KASE_ESGB_Y – indicator of ESG bond yield, %.
The specified indicators are calculated by KASE once a day based on the results of corporate bond trading.
The text of the Methodology is published on KASE website at see more
[2026-03-30]