7
Share securities
4
Debt securities
7
Repo
12
Government Securities
Full name of the traders | ID | KASE member | Membership rules | Access status | Status in the register | ||||
---|---|---|---|---|---|---|---|---|---|
Status | Date | ground | Date | Status | |||||
Zhubaev Maksut Makhmudovich | KIBAM0BT16 | BCC Invest JSC (Subsidiary of Bank CenterCredit JSC) |
stock market |
access granted |
01.08.2022 |
training completed |
01.08.2022 |
put on register |
|
Lustikov Alexander Alexandrovich | KIBAM0BT15 | BCC Invest JSC (Subsidiary of Bank CenterCredit JSC) |
stock market |
access granted |
28.02.2022 |
training completed |
28.02.2022 |
put on register |
|
Beis Daulet Keremadinuly | KIBAM0BT08 | BCC Invest JSC (Subsidiary of Bank CenterCredit JSC) |
stock market |
access granted |
16.11.2020 |
training completed |
16.11.2020 |
access granted |
|
Pak Valeriy | KIBAM0BT11 | BCC Invest JSC (Subsidiary of Bank CenterCredit JSC) |
stock market |
access granted |
03.08.2021 |
training completed |
03.08.2021 |
put on register |
Full name of the traders | ID | Reason for suspension | Date of suspension | Renewal date |
---|---|---|---|---|
Beis Daulet Keremadinuly | Exchange decision dated June 26, 2023 in connection with the recognition by the MA of transactions concluded by a trader for the purpose of manipulation on the securities market | 27.06.2023 | 30.06.2023 | |
Lustikov Alexander Alexandrovich | Exchange decision dated June 26, 2023 in connection with the recognition by the MA of transactions concluded by a trader for the purpose of manipulation on the securities market | 27.06.2023 | 30.06.2023 | |
Pak Valeriy | Exchange decision dated June 26, 2023 in connection with the recognition by the MA of transactions concluded by a trader for the purpose of manipulation on the securities market | 27.06.2023 | 30.06.2023 |
Indicator | As of 01.10.23 | As of 01.07.23 |
---|---|---|
Authorized capital | 21 177 051,00 тыс. KZT | 21 177 051,00 тыс. KZT |
Equity capital | 27 432 379,00 тыс. KZT | 26 673 160,00 тыс. KZT |
Total assets | 47 975 215,00 тыс. KZT | 41 626 404,00 тыс. KZT |
Total liabilities | 20 542 836,00 тыс. KZT | 14 953 244,00 тыс. KZT |
Net income | 2 194 151,00 тыс. KZT | 1 434 932,00 тыс. KZT |
ROA | 4,57% | 3,45% |
ROE | 8,00% | 5,38% |
Symbol | ISIN | Board | Sector | Category | Trades | Index |
---|---|---|---|---|---|---|
CCBN | KZ0007786572 | main | shares | standard | 13.08.99 | KASE |
CCBNp | KZ000A0H0930 | main | shares | стандарт | 20.11.18 | – |
KEGC | KZ1C00000959 | main | shares | premium | 19.12.14 | KASE |
KMGZ | KZ1C00001122 | main | shares | standard | 03.08.15 | KASE |
BASPb7 | KZ2C00006476 | main | debt securities | bonds | 16.04.20 | KASE_BM* |
BRKZe11 | XS2337670421 US25159XAC74 |
main | debt securities | облигации | 28.05.21 | – |
BRKZe12 | XS2337670694 US25159XAD57 |
main | debt securities | облигации | 28.05.21 | – |
BRKZe13 | XS2472852610 US48129VAA44 |
main | debt securities | облигации | 18.05.22 | – |
BVTBb6 | KZ2D00006517 | main | debt securities | bonds | 06.08.21 | KASE_BM* |
BVTBb7 | KZ2D00006525 | main | debt securities | bonds | 03.09.21 | KASE_BM* |
HCBNb8 | KZ2D00008356 | main | debt securities | облигации | 11.02.22 | KASE_BM* |
HCBNb9 | KZ2C00009892 | main | debt securities | bonds | 08.08.23 | KASE_BM* |
HCBNb10 | KZ2C00009918 | main | debt securities | bonds | 16.08.23 | KASE_BM* |
JSBNb1 | KZ2C00004133 | main | debt securities | bonds | 15.10.19 | KASE_BM* |
KAFIb9 | KZ2C00006385 | main | debt securities | bonds | 27.12.19 | KASE_BM* |
KFUSb11 | KZ2C00007334 | main | debt securities | облигации | 11.03.21 | KASE_BM* |
MFKMb3 | KZ2P00009772 | main | debt securities | commercial bonds | 29.06.23 | KASE_BM* |
MFOKb2 | KZ2P00008162 | main | debt securities | облигации | 06.12.21 | KASE_BM* |
MFOKb11 | KZ2C00009769 | main | debt securities | bonds | 05.06.23 | KASE_BM* |
MFOKb16 | KZ2C00010171 | main | debt securities | bonds | 15.11.23 | – |
NCOMb1 | KZ2D00005949 | main | debt securities | bonds | 28.06.19 | KASE_BM* |
NCOMb3 | KZ2P00009178 | main | debt securities | облигации | 20.02.23 | KASE_BM* |
SKKZb11 | KZ2C00002319 | main | debt securities | bonds | 18.03.09 | KASE_BM* |
SKKZe1 | XS2399149694 US84612WAA18 |
main | debt securities | облигации | 29.10.21 | – |
BCCIbe | KZPF00000553 | mix | investment fund securities | – | 30.11.22 | – |
BCCI_cc | KZPF00000058 | mix | investment fund securities | – | 07.08.17 | – |
BCCIrb | KZPF00000231 | mix | investment fund securities | – | 15.02.21 | – |
EABRb9 | KZ2D00003241 | mix | international financial organizations securities | – | 30.05.19 | – |
EABRb10 | KZ2C00004711 | mix | international financial organizations securities | – | 30.05.19 | – |
EABRb11 | KZ2C00004745 | mix | international financial organizations securities | – | 30.05.19 | – |