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2 July 2026, 14:05
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02.07.2026 12:08 #Trading information

On July 3, KASE will hold subscription for bonds KZ2P00018476 (MFTSb9) of MFO TAS FINANCE GROUP LLP

/KASE, July 2, 2026/ – Kazakhstan Stock Exchange (KASE) announces that on July 3, 2026, the KASE's trading system will host a placement of bonds KZ2P00018476 (KASE's main board, bonds category, MFTSb9) of MFO TAS FINANCE GROUP LLP through subscription to them on conditions below (Astana time).

The seller for subscription to the specified bonds is Halyk Finance JSC (hereinafter, the Seller).

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Type of securities:            coupon bonds               
ISIN:                          KZ2P00018476               
KASE trade code:               MFTSb9                     
Face value, KZT:               1,000                      
Issue volume, KZT:                                        
– registered:                  5,000,000,000              
– placed (at par):             –                          
Circulation start date:        date of the first completed
                               bond placement trades      
Last circulation day:          will be determined later   
Redemption start date:         will be determined later   
Circulation period:            2.0 years (720 days)       
Coupon rate:                   22.00% per annum           
Frequency of coupon payments:  4 times a year             
Coupon payment start dates:    will be determined later   
Time base:                     30 / 360                   
------------------------------ ---------------------------
Subscription date:             03.07.26                   
Nominal placement volume, KZT: 1,500,000,000              
Type of purchase orders:       limit                      
Order acceptance time:         10:00-15:00                
Price per bond, KZT:           1,000                      
Date and time of transactions: 03.07.26, 16:30            
Date and time of settlement:   03.07.26, 16:30            
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According to conditions of this subscription, the list of additional information about the investor disclosed to the Seller of the said bonds includes the following information:

1)full name of an individual or the name of a legal entity;

2)IIN of an individual or BIN of a legal entity.

Orders for participation in the subscription are submitted only through KASE members of the stock category. The full list of KASE members by category is published at see more

Settlement is carried out by Central Securities Depository JSC.

The rules for concluding the transactions are published at see more

Detailed information on the issue of the specified bonds is published at see more

[2026-07-02]