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News:
Bank CenterCredit JSC
09.01.24 16:29
Extract from Bank CenterCredit's shareholder registers as of January 1, 2024 provided
09.01.24 09:00
Subscription to bonds KZ2P00010010 (MFBLb2) of Birinshi Lombard is conducted on KASE today
05.01.24 14:50
Subscription to bonds KZ2P00010010 (MFBLb2) of Birinshi Lombard will be held on KASE on January 9
03.01.24 11:27
Development Bank of Kazakhstan announces conclusion of trilateral agreement to provide financing to RG Brands Kazakhstan
28.12.23 16:21
Birinshi Lombard raised KZT399.9 mln on KASE through subscription, by placing bonds KZ2P00010010 (MFBLb2) with yield to maturity of 24.00 % per annum
28.12.23 09:00
Subscription to bonds KZ2P00010010 (MFBLb2) of Birinshi Lombard is held on KASE today
27.12.23 18:22
Bank CenterCredit on December 27 repurchased 41.4 mln bonds KZ2C00004554 (CCBNb32) on KASE in the amount of KZT3.7 bn
27.12.23 16:29
Bank CenterCredit announced payment of 10th coupon on bonds KZ2C00004554 (CCBNb32)
27.12.23 11:47
Subscription to bonds KZ2P00010010 (MFBLb2) of Birinshi Lombard will be held on KASE on December 28
27.12.23 08:55
Special trading session for repurchase of 41.4 mln bonds KZ2C00004554 (CCBNb32) of Bank CenterCredit is held on KASE today
25.12.23 18:00
Subscription to bonds KZ2P00010010 (MFBLb2) of Birinshi Lombard declared failed
25.12.23 10:10
/REPEAT/ Special trading session for repurchase of 41.4 mln bonds KZ2C00004554 (CCBNb32) of Bank CenterCredit will be held on KASE on December 27
25.12.23 09:09
Subscription to bonds KZ2P00010010 (MFBLb2) of Birinshi Lombard is conducted on KASE on December 25
22.12.23 14:59
From December 26, units of two names will be included in T+ List
22.12.23 09:38
Subscription to bonds KZ2P00010010 (MFBLb2) of Birinshi Lombard will be held on KASE on December 25
21.12.23 17:32
Special trading session for repurchase of 41.4 mln bonds KZ2C00004554 (CCBNb32) of Bank CenterCredit will be held on KASE on December 27
19.12.23 10:37
BCC Invest announces payment of dividends to holders of units KZPF00000231 (BCCIrb) of IUIT "CenterCredit – Razumny balance" for September–November 2023
19.12.23 09:55
From December 19, bonds KZ2C00010627 (CCBNb35) of Bank CenterCredit included in "commercial bonds" category of KASE official list's main market
15.12.23 17:55
Kazakhstan Sustainability Fund on December 15 raised KZT15.1 bn on KASE by placing bonds KZ2C00009389 (KFUSb51) at weighted average yield to maturity of 13.86 % APR
15.12.23 09:00
Special trading session for offering of 10.0 mln bonds KZ2C00009389 (KFUSb51) of Kazakhstan Sustainability Fund is held on KASE today
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