As of October 23, international bonds XS2917067204 (BRKZe16) and XS2917067386 (BRKZe17) of Development Bank of Kazakhstan included in "bonds" category of KASE official list's main market

23.10.24 16:20
/KASE, October 23, 2024/ – Following a decision of the Management Board of Kazakhstan Stock Exchange (KASE), the following international bonds of Development Bank of Kazakhstan JSC (Astana) are included in the "bonds" category of KASE official list's main market as of October 3, 2024: - XS2917067204 ($500.0 mln, 23.10.24 – 23.10.29, semi-annual coupon, coupon rate 5.25 % per annum; 30/360); - XS2917067386 (65.0 bn tenge, 23.10.24 – 23.05.28, semi-annual coupon, coupon rate 13.4892 % per annum; 30/360). This decision of the Management Board shall enter into force on October 23, 2024. The opening of trading in these bonds on KASE will be announced additionally. The specified bonds have been assigned abbreviated designations (trading codes) BRKZe16 and BRKZe17, respectively. More detailed information on the issues of these bonds is published on KASE website at https://kase.kz/en/issuers/BRKZ/ [2024-10-23]