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25 July 2026, 18:09
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BRKZe20

Development Bank of Kazakhstan JSC coupon international bonds XS3108524227 Last coupon rate, % APR : 17,300
Days to maturity: 698
Circulation period: 03.07.25 – 03.07.28
Trades
Characteristics of the securities
Summary data
clean price
gross price
yield
Date/PeriodBidOfferLastW-averHighLowTrade Bonds m. KZTth. USD
24.07.26 99,6409 102,8695 0 0
23.07.26 99,6419 102,8744 0 0
From 26.02.26 100,4819 100,4819 100,4819 100,4819 100,4819 100,4819 1 20 000 000 20,7 41,2

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.
26.02.26 16:47:21 100,4819
-99,61
20 000 000 20,66 41,22

Other securities

Symbol ISINBoardSectorCategoryTradesIndex
BRKZb5 KZ2C00003648
maindebt securities bonds 12.08.16
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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