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27 July 2026, 02:09
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EBRDe10

European Bank for Reconstruction and Development indexed coupon international bonds XS2093242530 Last coupon rate, % APR fixed margin + index: 1,500 + 10,417
Days to maturity: 502
Circulation period: 19.12.19 – 19.12.27
Trades
Characteristics of the securities

Other securities

Symbol ISINBoardSectorCategoryTradesIndex
EBRDe8 XS2027948582
mixinternational financial organizations securities26.07.19
EBRDe9 XS2093223076
mixinternational financial organizations securities31.12.19
EBRDe10 XS2093242530
mixinternational financial organizations securities31.12.19
EBRDe11 XS2214305737
mixinternational financial organizations securities28.08.20
EBRDe13 XS2264979431
mixinternational financial organizations securities30.12.20
EBRDe19 XS2655869530
mixinternational financial organizations securities29.08.23
EBRDe20 XS2708176610
mixinternational financial organizations securities01.11.23
EBRDe22 XS2754484439
mixinternational financial organizations securities14.02.24
EBRDe23 XS2774403690
mixinternational financial organizations securities02.04.24
EBRDe24 US29874QEX88
mixinternational financial organizations securities02.04.24
EBRDe26 US29874QFA76
mixinternational financial organizations securities17.07.24
EBRDe27 XS3004202225
mixinternational financial organizations securities27.02.25
EBRDe29 XS3059487721
mixinternational financial organizations securities14.05.25

Actual information

INFORMATION KASE Rules
FOR INVESTORS Issuers
FOR MEMBERS Members of the Exchange
INFORMATION Trading results
INFORMATION Auction Viewing
FOR MEMBERS Trading and Clearing Shedule