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26 September 2026, 11:59
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BRKZb47

Development Bank of Kazakhstan JSC indexed coupon bonds KZ2C00016095 Last coupon rate, % APR fixed margin + index: 1,950 + 16,711
Days to maturity: 3 378
Circulation period: 26.12.25 – 26.12.35
Trades
Characteristics of the securities
Summary data
clean price
gross price
yield
Date/PeriodBidOfferLastW-averHighLowTrade Bonds m. KZTth. USD
25.09.26 – – – – – – 0 0 – –
24.09.26 – – – – – – 0 0 – –
From 26.01.26 101,0090 100,0000 101,0090 100,9125 101,0090 100,0000 6 27 599 211 30 169,7 62 284,2

The last 10 deals in the last 52 weeks

clean price
gross price
yield
Date Deal time Price, value Price, trend % Volume, pcsVolume, mln KZTVolume, USD th.
08.06.26 16:50:44 101,0090
0
5 348 465 5 893,86 12 091,46
08.06.26 16:37:15 101,0090
+0,02
14 000 000 15 427,61 31 650,27
22.05.26 16:12:29 100,9844
0
1 890 000 2 065,99 4 382,21
22.05.26 16:12:27 100,9844
+0,98
3 860 746 4 220,25 8 951,64
11.02.26 16:40:28 100,0000
+0,11
500 000 512,41 1 041,73
11.02.26 15:42:37 100,0000
+565,78
2 000 000 2 049,63 4 166,94

Other securities

Symbol ISINBoardSectorCategoryTradesIndex
BRKZb6 KZ2C00003713
maindebt securities bonds 12.08.16 –
BRKZb10 KZ2C00004000
maindebt securities bonds 16.10.17 –
BRKZb11 KZ2C00004018
maindebt securities bonds 16.10.17 –
BRKZb12 KZ2C00004026
maindebt securities bonds 16.10.17 –
BRKZb13 KZ2C00004190
maindebt securities bonds 10.02.20 –
BRKZb14 KZ2C00004273
maindebt securities bonds 19.08.20 –
BRKZb17 KZ2C00006286
maindebt securities bonds 06.12.19 –
BRKZb18 KZ2C00006765
maindebt securities облигации 12.06.20 –
BRKZb20 KZ2C00006898
maindebt securities облигации 26.01.21 –
BRKZb21 KZ2C00007102
maindebt securities облигации 26.01.21 –
BRKZb22 KZ2C00007417
maindebt securities облигации - –
BRKZb23 KZ2C00007987
maindebt securities облигации - –
BRKZb24 KZ2C00007904
maindebt securities облигации 21.01.22 –
BRKZb25 KZ2C00008605
maindebt securities облигации - –
BRKZb26 KZ2C00008613
maindebt securities облигации - –
BRKZb27 KZ2C00009132
maindebt securities облигации 30.03.23 –
BRKZb28 KZ2C00009140
maindebt securities облигации 23.05.23 –
BRKZb33 KZ2C00009645
maindebt securities облигации - –
BRKZb36 KZ2C00010346
maindebt securities bonds - –
BRKZb37 KZ2C00010379
maindebt securities bonds - –
BRKZb38 KZ2C00011583
maindebt securities bonds 08.10.24 –
BRKZb39 KZ2C00011575
maindebt securities bonds - –
BRKZb40 KZ2C00012227
maindebt securities bonds - –
BRKZb41 KZ2C00012813
maindebt securities bonds 06.01.25 –
BRKZb43 KZ2C00013423
maindebt securities commercial bonds - –
BRKZb44 KZ2C00014546
maindebt securities bonds - –
BRKZb45 KZ2C00014553
maindebt securities bonds - –
BRKZb46 KZ2C00015824
maindebt securities bonds 16.06.26 –
BRKZb47 KZ2C00016095
maindebt securities bonds 26.01.26 –
BRKZb48 KZ2C00016103
maindebt securities bonds 26.01.26 –
BRKZe12 XS2337670694
US25159XAD57
maindebt securities облигации 28.05.21 –
BRKZe14 XS2800066297
US48129VAB27
maindebt securities bonds 16.04.24 –
BRKZe15 XS2800066370
US48129VAC00
maindebt securities облигации 16.04.24 –
BRKZe16 XS2917067204
US25159XAE31
maindebt securities облигации 28.10.24 –
BRKZe17 XS2917067386
US25159XAF06
maindebt securities облигации 28.10.24 –
BRKZe18 XS3032932645
US48129VAD82
maindebt securities облигации 11.04.25 –
BRKZe20 XS3108524227
maindebt securities bonds 26.02.26 –
BRKZe21 HK0001185674
maindebt securities bonds 23.09.25 –
BRKZe22 XS3204113354
US48129VAG14
maindebt securities bonds 24.10.25 –
BRKZe23 XS3204113867
US48129VAF31
maindebt securities bonds 24.10.25 –

Actual information

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