KZ
RU
EN
25 September 2026, 08:37
KZ
RU
EN
Login

MFMOb37

LLP "Jet Finance" MFO" coupon bonds KZ2P00016850 Last coupon rate, % APR : 23,000
Days to maturity: 662
Circulation period: 27.07.26 – 27.07.28
Trades
Characteristics of the securities
Summary data
clean price
gross price
yield
Date/PeriodBidOfferLastW-averHighLowTrade Bonds m. KZTth. USD
25.09.26 – – – – – – – – – –
24.09.26 100,0000 99,0001 99,9900 99,9898 99,9900 99,0001 19 23 887 24,3 54,5
From 24.06.26 1 016,0600 97,0500 99,9900 123,2085 1 001,2700 90,0199 336 774 800 782,2 1 694,4

The last 10 deals in the last 52 weeks

clean price
gross price
yield
Date Deal time Price, value Price, trend % Volume, pcsVolume, mln KZTVolume, USD th.
24.09.26 16:05:07 99,9900
0
18 000 18,31 41,08
24.09.26 15:49:32 99,9900
0
1 968 2,00 4,49
24.09.26 15:37:21 99,9900
0
200 0,203 0,456
24.09.26 14:25:36 99,9900
0
40 0,041 0,091
24.09.26 13:52:34 99,9900
0
509 0,518 1,16
24.09.26 13:23:37 99,9900
0
99 0,101 0,226
24.09.26 13:14:32 99,9900
0
637 0,648 1,45
24.09.26 13:09:30 99,9900
+1,00
17 0,017 0,039
24.09.26 12:28:53 99,0001
-0,99
6 0,006 0,014
24.09.26 12:27:40 99,9900
0
5 0,005 0,011

Other securities

Symbol ISINBoardSectorCategoryTradesIndex
MFMOb7 KZ2P00012305
alternativedebt securities bonds 06.11.24 –
MFMOb10 KZ2P00012651
alternativedebt securities bonds 11.11.24 –
MFMOb15 KZ2P00013295
alternativedebt securities commercial bonds 08.05.25 –
MFMOb23 KZ2P00013154
alternativedebt securities bonds 16.05.25 –
MFMOb24 KZ2P00013212
alternativedebt securities bonds 11.06.25 –
MFMOb25 KZ2P00013220
alternativedebt securities bonds 11.06.25 –
MFMOb26 KZ2P00013204
alternativedebt securities bonds 16.05.25 –
MFMOb27 KZ2P00013345
alternativedebt securities bonds 11.06.25 –
MFMOb28 KZ2P00013352
alternativedebt securities bonds 11.06.25 –
MFMOb29 KZ2P00014459
alternativedebt securities bonds 01.10.25 –
MFMOb30 KZ2P00014467
alternativedebt securities bonds 11.12.25 –
MFMOb31 KZ2P00014483
alternativedebt securities bonds 03.02.26 –
MFMOb32 KZ2P00014590
alternativedebt securities bonds 19.08.25 –
MFMOb33 KZ2P00014608
alternativedebt securities bonds 31.10.25 –
MFMOb34 KZ2P00014616
alternativedebt securities bonds 06.02.26 –
MFMOb35 KZ2P00016686
alternativedebt securities commercial bonds 06.01.26 –
MFMOb36 KZ2P00016694
alternativedebt securities commercial bonds 06.01.26 –
MFMOb37 KZ2P00016850
alternativedebt securities bonds 24.06.26 –
MFMOb38 KZ2P00016868
alternativedebt securities bonds 25.06.26 –
MFMOb39 KZ2P00016876
alternativedebt securities bonds 25.06.26 –
MFMOb40 KZ2P00016785
alternativedebt securities bonds 24.06.26 –
MFMOb41 KZ2P00016793
alternativedebt securities bonds 24.06.26 –
MFMOb42 KZ2P00016819
alternativedebt securities bonds 25.06.26 –
MFMOb43 KZ2P00017882
alternativedebt securities commercial bonds 17.04.26 –
MFMOb44 KZ2P00017890
alternativedebt securities commercial bonds 17.04.26 –
MFMOb45 KZ2P00018195
alternativedebt securities commercial bonds 19.05.26 –
MFMOb46 KZ2P00018229
alternativedebt securities commercial bonds 20.05.26 –
MFMOb47 KZ2P00018203
alternativedebt securities commercial bonds 19.05.26 –
MFMOb48 KZ2P00018211
alternativedebt securities commercial bonds 20.05.26 –
MFMOb49 KZ2P00018880
alternativedebt securities commercial bonds 14.07.26 –
MFMOb50 KZ2P00018898
alternativedebt securities commercial bonds 14.07.26 –

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