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HCBNb13
HCBNb13
JSC "Home Credit Bank" (SB of "Forte Bank" JSC) coupon bonds KZ2C00011195 Last coupon rate, % APR : 18,150Days to maturity: 785
Circulation period: 27.02.25 – 27.02.28
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 |
22.12.25 (17:00) | 98,2000 | 98,1000 | 98,2000 | 98,1602 | 98,2000 | 98,1000 | 7 | 256 | ||
19.12.25 | 98,2000 | 98,1000 | 98,1000 | 98,1887 | 98,2000 | 98,1000 | 3 | 248 | ||
From 05.03.25 | 150,0000 | 94,8812 | 98,2000 | 97,6578 | 102,5950 | 94,8812 | 727 | 11 964 728 | ||
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. |
22.12.25 | 16:36:49 | 98,2000 | 0 | 109 | ||
22.12.25 | 16:36:49 | 98,1000 | 0 | 71 | ||
22.12.25 | 16:28:08 | 98,1000 | -0,10 | 29 | ||
22.12.25 | 14:39:41 | 98,2000 | 0 | 5 | ||
22.12.25 | 14:11:47 | 98,2000 | 0 | 30 | ||
22.12.25 | 12:44:33 | 98,2000 | +0,10 | 10 | ||
22.12.25 | 11:30:02 | 98,1000 | 0 | 2 | ||
19.12.25 | 14:12:59 | 98,1000 | -0,10 | 28 | ||
19.12.25 | 12:29:38 | 98,2000 | 0 | 20 | ||
19.12.25 | 11:36:33 | 98,2000 | 0 | 200 | ||
Other securities
Symbol | ISIN | Board | Sector | Category | Trades | Index |
KZ2C00009918 | main | debt securities | bonds | 16.08.23 | – | |
KZ2C00009926 | main | debt securities | bonds | 08.08.23 | – | |
KZ2C00011047 | main | debt securities | коммерческие облигации | - | – | |
KZ2C00011195 | main | debt securities | bonds | 05.03.25 | – | |
KZ2C00011351 | main | debt securities | bonds | 05.07.24 | – | |
KZ2C00011401 | main | debt securities | bonds | 11.07.24 | – | |
KZ2C00013795 | main | debt securities | commercial bonds | 28.11.25 | – | |
KZ2C00014066 | main | debt securities | bonds | 22.07.25 | – | |
KZ2C00014116 | main | debt securities | bonds | 01.12.25 | – | |
KZ2C00014124 | main | debt securities | bonds | 11.07.25 | – | |
KZ2C00014173 | main | debt securities | bonds | 01.12.25 | – | |
KZ2C00011120 | private placement | debt securities | – | - | – | |
News
Highlighted news contain information on the company ratings 12.12.25 15:17 | |
11.12.25 15:54 | |
10.12.25 16:10 | |
28.11.25 16:15 | |
27.11.25 17:01 | |
27.11.25 16:35 | |
26.11.25 18:01 | |
26.11.25 17:53 | |
26.11.25 09:09 | |
26.11.25 09:00 | |
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