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BRKZe4
BRKZe4
Development Bank of Kazakhstan JSC coupon international bonds XS0248160102 Last coupon rate, % APR : 6,000Days to maturity: 264
Circulation period: 23.03.06 – 23.03.26
Trades
Characteristics of the securities
Summary data
clean price
gross price
yield
Date/Period | Bid | Offer | Last | W-aver | High | Low | Trade | Bonds | m. KZT | th. USD |
27.06.25 | 99,3103 | 100,7182 | – | – | – | – | 0 | 0 | ||
26.06.25 | 99,3008 | 100,7138 | – | – | – | – | 0 | 0 | ||
From 30.03.06 | 117,0000 | 0,0000 | 99,5958 | 98,5137 | 119,0000 | 86,2190 | 164 | 51 745 435 | ||
The last 10 deals in the last 52 weeks
clean price
gross price
yield
Date | Deal time | Price, value | Price, trend % | Volume, pcs | Volume,mln KZT | Volume, USD th. |
02.06.25 | 13:02:39 | 99,5958 | -1,19 | 2 000 | ||
28.05.25 | 12:11:43 | 100,7952 | +0,02 | 2 000 | ||
18.03.25 | 17:00:46 | 100,7755 | +0,77 | 2 099 000 | ||
23.08.24 | 16:12:10 | 100,0093 | 0 | 14 000 | ||
23.08.24 | 16:02:19 | 100,0093 | -1,02 | 107 000 | ||
Other securities
Symbol | ISIN | Board | Sector | Category | Trades | Index |
XS0248160102 | main | debt securities | bonds | 30.03.06 | – | |
KZ2C00003580 | main | debt securities | bonds | 12.08.16 | – | |
KZ2C00003648 | main | debt securities | bonds | 12.08.16 | – | |
KZ2C00003713 | main | debt securities | bonds | 12.08.16 | – | |
KZ2C00004000 | main | debt securities | bonds | 16.10.17 | – | |
KZ2C00004018 | main | debt securities | bonds | 16.10.17 | – | |
KZ2C00004026 | main | debt securities | bonds | 16.10.17 | – | |
KZ2C00004190 | main | debt securities | bonds | 10.02.20 | – | |
KZ2C00004273 | main | debt securities | bonds | 19.08.20 | – | |
KZ2C00005908 | main | debt securities | bonds | 15.08.19 | – | |
KZ2C00006286 | main | debt securities | bonds | 06.12.19 | – | |
KZ2C00006765 | main | debt securities | облигации | 12.06.20 | – | |
KZ2C00006864 | main | debt securities | облигации | 20.08.20 | – | |
KZ2C00006898 | main | debt securities | облигации | 26.01.21 | – | |
KZ2C00007102 | main | debt securities | облигации | 26.01.21 | – | |
KZ2C00007417 | main | debt securities | облигации | – | – | |
XS2337670421 US25159XAC74 | main | debt securities | облигации | 28.05.21 | – | |
XS2337670694 US25159XAD57 | main | debt securities | облигации | 28.05.21 | – | |
KZ2C00007987 | main | debt securities | облигации | – | – | |
KZ2C00007904 | main | debt securities | облигации | 21.01.22 | – | |
KZ2C00008605 | main | debt securities | облигации | – | – | |
KZ2C00008613 | main | debt securities | облигации | – | – | |
KZ2C00009132 | main | debt securities | облигации | 30.03.23 | – | |
KZ2C00009140 | main | debt securities | облигации | 23.05.23 | – | |
KZ2C00009645 | main | debt securities | облигации | – | – | |
KZ2C00009637 | main | debt securities | облигации | 25.04.23 | – | |
KZ2C00010106 | main | debt securities | commercial bonds | – | – | |
KZ2C00010346 | main | debt securities | bonds | – | – | |
KZ2C00010379 | main | debt securities | bonds | – | – | |
XS2800066297 US48129VAB27 | main | debt securities | bonds | 16.04.24 | – | |
XS2800066370 US48129VAC00 | main | debt securities | облигации | 16.04.24 | – | |
KZ2C00011583 | main | debt securities | bonds | 08.10.24 | – | |
KZ2C00011575 | main | debt securities | bonds | – | – | |
KZ2C00012227 | main | debt securities | bonds | – | – | |
XS2917067204 US25159XAE31 | main | debt securities | облигации | 28.10.24 | – | |
XS2917067386 US25159XAF06 | main | debt securities | облигации | 28.10.24 | – | |
KZ2C00012813 | main | debt securities | bonds | 06.01.25 | – | |
KZ2C00013415 | main | debt securities | commercial bonds | – | – | |
KZ2C00013423 | main | debt securities | commercial bonds | – | – | |
XS3032932645 US48129VAD82 | main | debt securities | облигации | 11.04.25 | – | |
News
Highlighted news contain information on the company ratings 26.06.25 20:08 | |
26.06.25 20:05 | |
26.06.25 18:59 | |
26.06.25 18:58 | |
26.06.25 18:40 | |
26.06.25 18:39 | |
26.06.25 18:02 | |
26.06.25 18:01 | |
26.06.25 17:17 | |
26.06.25 17:16 | |
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