Trade Information
Capitalisation:
the total market value of shares of the company – 134 112,36 m. KZT ($282,95 m.)
Contacts:
Telephone: (727) 244 30 30
Fax: (727) 259 86 22, 259 85 98
Republic of Kazakhstan, A25D5G0, Almaty, Medeu district, Al-Farabi ave., 38
E-mail:
Primary activity:
Banking activities
Chief executive officer:
Vladimirov Ruslan President
Printed sources:
Kazakhstanskaya pravda, Egemen Kazakhstan, Panorama
Symbol ISIN Board Sector Category Trades Index
CCBN KZ0007786572 main shares standard 13.08.99 KASE
CCBNp KZ000A0H0930 main shares стандарт 20.11.18
ALBNb5 KZ2C00006062 main debt securities bonds 06.05.20
CCBNb20 KZ2C00000560 main debt securities bonds 09.02.09 KASE_BM*
CCBNb23 KZ2C00000594 main debt securities bonds 31.03.10
CCBNb27 KZ2C00003317 main debt securities bonds 28.09.15
CCBNb28 KZ2C00003424 main debt securities bonds 05.10.15
CCBNb29 KZ2C00004083 main debt securities bonds 08.01.18
CCBNb30 KZ2C00004158 main debt securities bonds 26.02.18
CCBNb32 KZ2C00004554 main debt securities bonds 20.02.19
CCBNb33 KZ2C00007714 main debt securities облигации 18.11.21
CCBNb34 KZ2C00008621 main debt securities облигации

as of July 1, 2023 ( previous extract )

Shareholder Common shares, pieces Common shares, shareholding % Preferred shares Total shares, pieces Total shares, shareholding %
B. Baiseitov 91 146 273 48,47 20 278,00 91 166 551 40,11
V.Li 20 984 491 11,16 20 984 491 9,23
           
Authorized ordinary shares, pieces 1 211 140 611
Authorized preferred shares, pieces 39 249 255
Issued ordinary shares, pieces 188 029 035
Issued preferred shares, pieces 39 249 255
Treasury ordinary shares, pieces
Treasury preferred shares, pieces 38 953 841
Outstanding ordinary shares, pieces
Outstanding preferred shares, pieces 295 414
IndicatorAs of 01.07.23As of 01.04.23
Authorized capital 63 170,00 млн KZT 63 436,00 млн KZT
Equity capital 339 517,00 млн KZT 302 166,00 млн KZT
Total assets 4 510 501,00 млн KZT 4 422 594,00 млн KZT
Total liabilities 4 170 984,00 млн KZT 4 120 428,00 млн KZT
Net income 62 699,00 млн KZT 25 041,00 млн KZT
Book value of common share 1 754,00 KZT 1 475,00 KZT
Book value of preferred share 95,00 KZT 141,00 KZT
ROA 1,39% 0,57%
ROE 18,47% 8,29%
Document type:
Submission year:
Document Submission period Submission date
18.04.11
06.05.10
06.05.10
06.05.10
06.05.10
22.04.10
22.04.10
11.03.05
17.05.23
17.05.23
27.05.22
25.05.22
28.05.21
28.05.21
08.06.20
08.06.20
14.08.19
14.08.19
14.08.19
14.05.19
14.05.19
14.05.19
29.04.19
29.04.19
09.11.18
09.11.18
09.11.18
30.10.18
13.08.18
13.08.18
13.08.18
14.05.18
14.05.18
14.05.18
23.04.18
23.04.18
14.11.17
14.11.17
14.11.17
14.08.17
12.08.17
12.08.17
22.05.17
22.05.17
15.05.17
15.05.17
15.05.17
19.04.17
19.04.17
19.04.17
19.04.17
16.11.16
16.11.16
16.11.16
16.08.16
13.05.16
13.05.16
13.05.16
19.04.16
19.04.16
13.11.15
13.11.15
13.11.15
31.07.15
14.05.15
14.05.15
14.05.15
27.04.15
27.04.15
14.11.14
14.11.14
14.11.14
15.08.14 14.08.14
15.05.14 29.05.14
15.05.14 29.05.14
15.05.14 29.05.14
01.06.14 23.05.14
13.06.14 15.05.14
15.11.13 08.11.13
15.11.13 08.11.13
15.08.13 13.08.13
14.06.13 05.06.13
29.05.13 29.05.13
29.05.13 29.05.13
29.11.12 29.11.12
29.11.12 29.11.12
16.08.12 15.08.12
15.05.12 15.05.12
15.05.12 15.05.12
01.06.12 02.05.12
01.06.11 27.04.11
31.03.05
25.04.03 25.04.03
15.03.02 15.03.02
20.01.14
20.05.14
12.04.14
28.01.14
14.05.13
Documents not found
Highlighted news contain information on the company ratings
22.09.23 14:09 Bank CenterCredit did not pay 16th coupon on bonds KZ2C00003317 (CCBNb27) due to absence in circulation
15.09.23 18:09 FROM SEPTEMBER 20, 2023 KASE WILL CHANGE PARAMETERS OF SHARES FROM THE REPRESENTATIVE LIST FOR CALCULATION OF THE KASE INDEX, DUE TO THE CHANGES IN THE NUMBER OF ORDINARY SHARES OF JSC"KAZAKHTELECOM"
15.09.23 17:09 Safe-Lombard on September 15 raised KZT849.6 mln on KASE by placing bonds KZ2P00008097 (MFSLb1) at yield to maturity of 21.00 % APR
15.09.23 10:09 BCC Invest announces payment of dividends to holders of units KZPF00000231 (BCCIrb) of IUIT "CenterCredit – Razumny balance" for June–August 2023
15.09.23 09:09 Special trading session for offering of 750,000 bonds KZ2P00008097 (MFSLb1) of Safe-Lombard is held on KASE today
14.09.23 09:09 /REPEAT/ Special trading session for offering of 750,000 bonds KZ2P00008097 (MFSLb1) of Safe-Lombard will be held on KASE on September 15
12.09.23 17:09 Board of Directors of BCC Invest decides to issue 1.5 bn common shares of the company, with sole shareholder exercising pre-emptive purchase right
12.09.23 16:09 Special trading session for offering of 750,000 bonds KZ2P00008097 (MFSLb1) of Safe-Lombard will be held on KASE on September 15
08.09.23 17:09 Kazakhstan Sustainability Fund on September 8 raised KZT14.5 bn on KASE by placing bonds KZ2C00009447 (KFUSb52) at weighted average yield to maturity of 14.94 % APR
08.09.23 09:09 Special trading session for offering of 15.0 mln bonds KZ2C00009447 (KFUSb52) of Kazakhstan Sustainability Fund is held on KASE today
All issuer news