Trade Information
Contacts:
15 n.p., 55a Mangilik El ave., Esil district, Nur-Sultan, Z05T3E2, Republick of Kazakhstan
Telephone: (7172) 79 26 88, 79 26 39, 79 26 79
Fax: (7172) 79 26 38
Site:
E-mail:
Primary activity:
rendering banking services (except for attraction of deposits and opening of accounts for physical and juridical entities, excluding opening and maintaining of special accounts of conditional deposits, reserve accounts in compliance with agreements on loans that are guaranteed by the state, bank accounts for registering of the bank's loans, other loans and funds of the republican and local budgets, in order to make payments and money transfers, which are provided by agreements concluded in compliance with investment projects and export operations maintained by the bank)
Chief executive officer:
Abay Sarkulov
Printed sources:
Kazakhstanskaya pravda
Credit ratings:
Moody's Investors Service: Baa3/positive (28.08.19);
Standard & Poor's: BB+/stable/B (27.06.19);
Fitch Ratings: http://www.fitchratings.com;
Symbol ISIN Board Sector Category Trades Index
BRKZb2 KZ2C00003002 main debt securities bonds 19.03.15
BRKZb3 KZ2C00003580 main debt securities bonds 12.08.16
BRKZb5 KZ2C00003648 main debt securities bonds 12.08.16
BRKZb6 KZ2C00003713 main debt securities bonds 12.08.16
BRKZb8 KZ2C00003911 main debt securities bonds 03.07.17
BRKZb9 KZ2C00003903 main debt securities bonds 03.07.17 KASE_BM*
BRKZb10 KZ2C00004000 main debt securities облигации 16.10.17
BRKZb11 KZ2C00004018 main debt securities облигации 16.10.17
BRKZb12 KZ2C00004026 main debt securities облигации 16.10.17
BRKZb13 KZ2C00004190 main debt securities облигации no trade
BRKZb14 KZ2C00004273 main debt securities облигации no trade
BRKZb15 KZ2C00005908 main debt securities облигации 15.08.19
BRKZb16 KZ2C00005916 main debt securities облигации 08.10.19
BRKZb17 KZ2C00006286 main debt securities облигации 06.12.19
BRKZe3 XS0220743776
main debt securities bonds 08.06.05
BRKZe4 XS0248160102
main debt securities bonds 30.03.06
BRKZe7 XS0860582435
US25159XAB91
main debt securities bonds 15.01.13
BRKZe8 XS1734574137
main debt securities облигации 16.03.18
BRKZe9 XS1814831563
XS1814863335
main debt securities облигации 20.07.18
BRKZe3_US XS0220743776
main debt securities облигации 08.06.05
BRKZe4_US XS0248160102
main debt securities облигации 30.03.06
BRKZe7_US XS0860582435
US25159XAB91
main debt securities облигации 15.01.13

as of Jan. 1, 2020 ( previous extract )

Shareholder Common shares, pieces Common shares, shareholding % Preferred shares Total shares, pieces Total shares, shareholding %
National managing holding Baiterek JSC 2 107 820 100,00 2 107 820 100,00
           
Authorized ordinary shares, pieces 2 119 519
Authorized preferred shares, pieces
Issued ordinary shares, pieces 2 107 820
Issued preferred shares, pieces
Treasury ordinary shares, pieces
Treasury preferred shares, pieces
Outstanding ordinary shares, pieces
Outstanding preferred shares, pieces
IndicatorAs of 01.10.19As of 01.07.19
Authorized capital 435 667 511,00 тыс. KZT 423 667 511,00 тыс. KZT
Equity capital 412 450 724,00 тыс. KZT 401 910 173,00 тыс. KZT
Total assets 2 485 266 494,00 тыс. KZT 2 490 011 722,00 тыс. KZT
Total liabilities 2 072 815 770,00 тыс. KZT 2 088 101 549,00 тыс. KZT
Net income 5 340 775,00 тыс. KZT 6 237 363,00 тыс. KZT
ROA 0,21% 0,25%
ROE 1,29% 1,55%
Document type:
Submission year:
Document Submission period Submission date
11.05.18
17.06.15
30.11.12
23.11.12
22.08.12
25.06.12
10.05.12
01.06.12 02.05.12
22.11.11
22.11.11
24.10.11
15.08.11 15.08.11
01.06.11 03.05.11
15.03.11
04.02.11
06.12.10
18.11.10
01.06.10 20.04.10
21.10.08 21.10.08
30.04.07 30.04.07
11.05.06
27.05.05
15.10.03
15.10.03
15.02.02
15.02.02
Documents not found