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KZIKb27
KZIKb27
JSC "Kazakhstan Housing Company" coupon bonds KZ2C00003333 Last coupon rate, % APR : 10,500Days to maturity: 761
Circulation period: 15.12.17 – 15.12.27
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  | 
04.11.25  |  –   |  –   |  –   |  –   |  –   |  –   |  –   |  –   | ||
03.11.25  |  88,8080   |  88,8214   |  –   |  –   |  –   |  –   |  0   |  0   | ||
From 25.12.17  |  112,5698   |  82,0863   |  88,8084   |  102,0634   |  116,1312   |  82,0863   |  367   |  1 930 269 114   | ||
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.  | 
31.10.25  | 11:41:36  |  88,8084   |  0   | 5  | ||
31.10.25  | 11:40:24  |  88,8084   |  +0,01   | 239  | ||
30.10.25  | 11:30:01  |  88,7955   |  0   | 1 279  | ||
30.10.25  | 11:30:01  |  88,7955   |  +0,04   | 100  | ||
29.10.25  | 17:25:07  |  88,7569   |  +0,01   | 123 297  | ||
24.10.25  | 11:31:19  |  88,7441   |  0   | 7  | ||
24.10.25  | 11:30:02  |  88,7441   |  +0,07   | 3  | ||
22.10.25  | 11:30:04  |  88,6802   |  +0,01   | 3  | ||
21.10.25  | 12:26:59  |  88,6675   |  +0,04   | 327  | ||
16.10.25  | 14:07:37  |  88,6294   |  +0,04   | 2 000  | ||
Other securities
Symbol  | ISIN  | Board  | Sector  | Category  | Trades  | Index  | 
 KZ2C00006807  | main  | debt securities  | облигации  |  21.09.20   |  –   | |
 KZ2C00006815  | main  | debt securities  | облигации  |  07.12.20   |  –   | |
 KZ2C00006823  | main  | debt securities  | облигации  |  29.10.20   |  –   | |
 KZ2C00006831  | main  | debt securities  | облигации  |  29.10.20   |  –   | |
 KZ1C00000637  | main  | shares  | standard  |  09.11.09   |  –   | |
 KZ2C00003333  | main  | debt securities  | bonds  |  25.12.17   |  –   | |
 KZ2C00004356  | main  | debt securities  | bonds  |  12.07.19   |  –   | |
 KZ2C00004349  | main  | debt securities  | bonds  |  13.08.20   |  –   | |
 KZ2C00006393  | main  | debt securities  | bonds  |  02.04.21   |  –   | |
 KZ2C00006401  | main  | debt securities  | bonds  |  11.04.24   |  –   | |
 KZ2C00007086  | main  | debt securities  | облигации  |  07.04.21   |  –   | |
 KZ2C00007094  | main  | debt securities  | облигации  |  08.01.21   |  –   | |
 KZ2C00007409  | main  | debt securities  | облигации  |  20.09.24   |  –   | |
 KZ2C00007631  | main  | debt securities  | облигации  |  22.02.22   |  –   | |
 KZ2C00007839  | main  | debt securities  | облигации  |  28.10.21   |  –   | |
 KZ2C00007854  | main  | debt securities  | облигации  |  23.09.24   |  –   | |
 KZ2C00007649  | main  | debt securities  | bonds  |  20.09.24   |  –   | |
 KZ2C00014736  | main  | debt securities  | bonds  |  28.07.25   |  –   | |
 KZ2C00014744  | main  | debt securities  | bonds  |  18.09.25   |  –   | |
 KZ2C00014751  | main  | debt securities  | bonds  |  18.09.25   |  –   | |
 KZ2C00014769  | main  | debt securities  | bonds  |  –   |  –   | |
News
Highlighted news contain information on the company ratings 23.10.25 17:50   | |
 16.10.25 10:12   | |
 29.09.25 12:29   | |
 25.09.25 11:47   | |
 24.09.25 18:43   | |
 24.09.25 09:20   | |
 22.09.25 11:31   | |
 17.09.25 14:24   | |
 12.09.25 15:53   | |
 10.09.25 10:14   | |
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