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Қазақстан қор биржасы
Казахстанская фондовая биржа
Kazakhstan Stock Exchange
Saturday, 23 November 2024 19:48
+7 (727) 237 53 00
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KKGBp
KKGBp
110,00
1,00
0,92%
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Registration
These securities have been delisted from trading lists 20.03.18
preferred
Share
KZ0005416453
Kazkommertsbank JSC
Trades
Characteristics of the securities
Prospectuses
News
Trades
Archive
Intraday
Недостаточно данных для построения графика
Currently securities of the Kazkommertsbank JSC are not listed on the KASE
Characteristics of the securities
Trading code:
KKGBp
Quotation currency:
KZT
Quotation accuracy:
2 characters
Characteristics of the securities:
T+0
Listing date:
28.12.01
Trades opening date:
08.01.02
Trades suspension date:
19.03.18
Delisting date:
20.03.18
Market Makers:
absent
Company:
Kazkommertsbank JSC
Share type:
preferred convertable
CFI:
EPNXFR
ISIN:
KZ0005416453
BBGID:
BBG000D47RL6
Issue registration date:
01.06.17
Registrar:
JSC "Single registrar of securities" (Almaty)
Dividends:
payment history
Number of shares outstanding:
124 602 875
Issue currency:
KZT
Dividend payment period:
annual, minimum guaranteed size of dividend per one share is $0.04.
Prospectuses
Offering of Global Depositary Receipts
News
Highlighted news contain information on the company ratings
16.05.24 12:54
Overview of KASE equity market in April 2024
08.04.24 17:55
Halyk Bank of Kazakhstan announces full early repayment of 250 bn tenge of historical government assistance received by Kazkommertsbank in 2015
15.03.24 15:56
Halyk Bank of Kazakhstan announces 2023 consolidated financial results
01.03.24 15:49
V. Lee appointed as Deputy Chairman of Board of Development Bank of Kazakhstan
28.12.23 17:33
Halyk Bank of Kazakhstan announces early repayment of KZT40 bn of historical state support funds received by Kazkommertsbank in 2015
04.08.21 17:38
Halyk Savings Bank of Kazakhstan announces voluntary liquidation of subsidiary bank in Republic of Tajikistan
03.07.20 15:51
Kazkommerts Securities (subsidiary of Kazkommertsbank)'s name changed
18.06.20 18:39
Development Bank of Kazakhstan raised KZT10.6 bn on KASE placing bonds KZ2C00004273 (BRKZb14) on June 18
18.06.20 09:36
Special trading session for offering of 43.5 mln bonds KZ2C00004273 (BRKZb14) of Development Bank of Kazakhstan is held on KASE today
16.06.20 11:22
Special trading session for offering 43.5 mln bonds KZ2C00004273 (BRKZb14) of Development Bank of Kazakhstan will be held on June 18
All issuer news
№
Дата протокола
или решения
Дата и время
фиксации реестра
Период, за который
выплачиваются дивиденды
Размер дивиденда
на одну акцию
Сумма выплаты
в валюте выпуска
Дата начала
выплаты дивидендов
1
15.04.02
10.11.03
20.12.01 – 31.12.01
0.04
нет данных
10.12.03
2
27.03.03
10.11.03
01.01.02 – 31.12.02
0.04
нет данных
10.12.03
3
31.05.04
10.11.04
01.01.03 – 31.12.03
0.04
нет данных
10.12.04
4
17.05.05
10.11.05
01.01.04 – 31.12.04
0.04
нет данных
10.12.05
5
28.04.06
10.11.06
01.01.05 – 31.12.05
0.04
нет данных
10.12.06
6
18.05.07
12.11.07
01.01.06 – 31.12.06
0.04
нет данных
10.12.06
7
28.06.07
–
01.01.07 – 31.12.07
0.04
нет данных
–
8
26.05.09
10.11.09
01.01.08 – 31.12.08
0.04
не выплачивались
10.12.09
9
24.05.10
10.11.10
01.01.09 – 31.12.09
0.04
734 558 868,70
10.12.10
10
04.05.11
12.11.11
01.01.10 – 31.12.10
0.04
нет данных
12.12.11
11
18.05.12
12.11.12
01.01.11 – 31.12.11
0.04
749 361 690,23
12.12.12
12
28.05.13
12.11.13
01.01.12 – 31.12.12
6.1808
770 145 449,81
12.12.13
13
21.02.14
12.11.14
01.01.13 – 31.12.13
0.04
4 984 115,00
12.12.14
14
27.05.15
10.11.15
01.01.14 – 31.12.14
0.04
1 540 667 050,68
10.11.15
15
30.05.16
08.11.16
01.01.15 – 31.12.15
0.04
не выплачивались
08.12.16
16
20.12.17
20.12.17
01.01.17 – 31.12.17
–
нет данных
25.12.17
17
–
08.11.16
–
–
не выплачивались
08.12.16
×
Недостаточно данных для построения графика.
Подробности смотрите в таблице.