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17 September 2026, 18:12
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17.09.2026 14:57 #Instruments

As of September 17, 19 bond issues of Kazakhstan Sustainability Fund JSC are included in "bonds" category of KASE official list's main market

/KASE, September 17, 2026/ – On September 15, 2026, the Management Board of Kazakhstan Stock Exchange (KASE) decided to include the following bonds of Kazakhstan Sustainability Fund JSC in the "bonds" category of KASE official list's main market:

1) KZ2C00019727 (KFUSb128; KZT 1,000, KZT 10.0 bn; 2 years; annual coupon, 12.50 % APR; 30/360);

2) KZ2C00019735 (KFUSb129; KZT 1,000, KZT 10.0 bn; 2 years; annual coupon, 12.50 % APR; 30/360);

3) KZ2C00019743 (KFUSb130; KZT 1,000, KZT 10.0 bn; 2 years; annual coupon, 12.50 % APR; 30/360);

4) KZ2C00019750 (KFUSb131; KZT 1,000, KZT 10.0 bn; 2 years; annual coupon, 12.50 % APR; 30/360);

5) KZ2C00019768 (KFUSb132; KZT 1,000, KZT 10.0 bn; 2 years; annual coupon, 12.50 % APR; 30/360);

6) KZ2C00019776 (KFUSb133; KZT 1,000, KZT 10.0 bn; 2 years; annual coupon, 12.50 % APR; 30/360);

7) KZ2C00019784 (KFUSb134; KZT 1,000, KZT 10.0 bn; 2 years; annual coupon, 12.50 % APR; 30/360);

8) KZ2C00019792 (KFUSb135; KZT 1,000, KZT 10.0 bn; 2 years; annual coupon, 12.50 % APR; 30/360);

9) KZ2C00019800 (KFUSb136; KZT 1,000, KZT 10.0 bn; 2 years; annual coupon, 12.50 % APR; 30/360);

10) KZ2C00019818 (KFUSb137; KZT 1,000, KZT 10.0 bn; 2 years; annual coupon, 12.50 % APR; 30/360);

11) KZ2C00019826 (KFUSb138; KZT 1,000, KZT 10.0 bn; 2 years; annual coupon, 12.50 % APR; 30/360);

12) KZ2C00019834 (KFUSb139; KZT 1,000, KZT 10.0 bn; 2 years; annual coupon, 12.50 % APR; 30/360);

13) KZ2C00019842 (KFUSb140; KZT 1,000, KZT 10.0 bn; 2 years; annual coupon, 12.50 % APR; 30/360);

14) KZ2C00019867 (KFUSb141; KZT 1,000, KZT 10.0 bn; 2 years; annual coupon, 12.50 % APR; 30/360);

15) KZ2C00019883 (KFUSb142; KZT 1,000, KZT 20.0 bn; 2 years; annual coupon, 12.50 % APR; 30/360);

16) KZ2C00019891 (KFUSb143; KZT 1,000, KZT 20.0 bn; 2 years; annual coupon, 12.50 % APR; 30/360);

17) KZ2C00019909 (KFUSb144; KZT 1,000, KZT 20.0 bn; 2 years; annual coupon, 12.50 % APR; 30/360);

18) KZ2C00019917 (KFUSb145; KZT 1,000, KZT 20.0 bn; 2 years; annual coupon, 12.50 % APR; 30/360);

19) KZ2C00019925 (KFUSb146; KZT 1,000, KZT 20.0 bn; 2 years; annual coupon, 12.50 % APR; 30/360).

This decision of the Management Board comes into effect on September 17, 2026.

Opening of trading in these bonds on KASE will be announced additionally.

More detailed information on these bond issues is published at see more

[2026-09-17]