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8 November 2025, 10:45
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HCBNb13

HCBNb13

JSC "Home Credit Bank" coupon bonds KZ2C00011195 Last coupon rate, % APR : 18,150
Days to maturity: 829
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
07.11.25 (17:00)
98,0000
97,9275
98,0000
97,9276
98,0000
97,9275
2
50 099
50,8
96,5
06.11.25
98,0000
94,8812
94,8812
97,7547
98,0000
94,8812
4
89
0,090
0,172
From 05.03.25
150,0000
94,8812
98,0000
97,7687
102,5950
94,8812
590
10 018 400
10 168,0
19 450,0

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.
07.11.25
15:21:01
98,0000
+0,07
99
0,101
0,191
07.11.25
12:23:44
97,9275
+3,21
50 000
50,73
96,30
06.11.25
14:49:42
94,8812
-3,18
7
0,007
0,013
06.11.25
13:27:10
98,0000
0
40
0,041
0,077
06.11.25
12:40:28
98,0000
0
2
0,002
0,004
06.11.25
12:39:08
98,0000
0
40
0,041
0,077
05.11.25
16:25:11
98,0000
0
16
0,016
0,031
04.11.25
14:46:21
98,0000
0
500
0,507
0,959
04.11.25
14:11:28
98,0000
-0,30
20
0,020
0,038
30.10.25
15:42:07
98,2900
+0,60
51
0,052
0,098

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
KZ2C00014066
main
debt securities
bonds
22.07.25
KZ2C00014116
main
debt securities
bonds
KZ2C00014124
main
debt securities
bonds
11.07.25
KZ2C00014173
main
debt securities
bonds
KZ2C00011120
private placement
debt securities

Actual information

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