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MFRFb21
MFRFb21
"MFO "R-Finance" LLP coupon bonds KZ2P00014723 Last coupon rate, % APR : 22,000Days to maturity: 414
Circulation period: 08.08.25 – 08.08.27
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 |
12.06.26 (17:00) | 98,2000 | 98,0000 | 98,1898 | 98,0249 | 98,1900 | 98,0000 | 13 | 383 | ||
11.06.26 | 98,1900 | 98,1898 | 98,1898 | 98,1898 | 98,1900 | 98,1898 | 6 | 609 | ||
From 14.08.25 | 112,7164 | 80,0000 | 98,1898 | 99,6609 | 145,0000 | 55,0000 | 4 194 | 3 531 189 | ||
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. |
12.06.26 | 16:44:03 | 98,1898 | +0,19 | 2 | ||
12.06.26 | 15:04:06 | 98,0000 | 0,00 | 64 | ||
12.06.26 | 15:04:06 | 98,0001 | -0,19 | 269 | ||
12.06.26 | 14:54:25 | 98,1898 | 0 | 1 | ||
12.06.26 | 14:09:37 | 98,1898 | 0 | 2 | ||
12.06.26 | 14:05:21 | 98,1898 | 0 | 1 | ||
12.06.26 | 13:29:28 | 98,1898 | 0 | 1 | ||
12.06.26 | 12:50:50 | 98,1898 | 0,00 | 1 | ||
12.06.26 | 12:48:59 | 98,1900 | 0 | 23 | ||
12.06.26 | 12:37:43 | 98,1900 | 0 | 11 | ||
Other securities
Symbol | ISIN | Board | Sector | Category | Trades | Index |
KZ2P00010366 | alternative | debt securities | bonds | 15.12.23 | – | |
KZ2P00011398 | alternative | debt securities | облигации | 10.07.24 | – | |
KZ2P00011687 | alternative | debt securities | bonds | 30.10.24 | – | |
KZ2P00012271 | alternative | debt securities | bonds | 01.06.26 | – | |
KZ2P00013063 | alternative | debt securities | bonds | 31.03.25 | – | |
KZ2P00013998 | alternative | debt securities | bonds | 24.07.25 | – | |
KZ2P00014004 | alternative | debt securities | bonds | 30.06.25 | – | |
KZ2P00014822 | alternative | debt securities | commercial bonds | - | – | |
KZ2P00014723 | alternative | debt securities | bonds | 14.08.25 | – | |
KZ2P00015613 | alternative | debt securities | bonds | - | – | |
KZ2P00015837 | alternative | debt securities | bonds | - | – | |
KZ2P00015845 | alternative | debt securities | bonds | 29.10.25 | – | |
KZ2P00016173 | alternative | debt securities | bonds | - | – | |
KZ2P00016306 | alternative | debt securities | bonds | 13.02.26 | – | |
KZ2P00016314 | alternative | debt securities | bonds | 28.04.26 | – | |
KZ2P00017775 | alternative | debt securities | commercial bonds | 22.04.26 | – | |
KZ2P00017783 | alternative | debt securities | commercial bonds | 20.04.26 | – | |
KZ2P00017981 | private placement | debt securities | – | - | – | |
KZ2P00018021 | private placement | debt securities | – | - | – | |
News
Highlighted news contain information on the company ratings 10.06.26 11:40
09.06.26 14:40
03.06.26 16:10
01.06.26 11:26
01.06.26 09:46
29.05.26 18:40
29.05.26 15:38
29.05.26 09:43
28.05.26 15:56
28.05.26 15:52
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