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KSNF
KSNF
760 000,00
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Registration
ordinary
Share
KZ1C00000694
Caspi neft JSC
Trades
Characteristics of the securities
Prospectuses
News
Trades
Archive
Intraday
Недостаточно данных для построения графика
Other securities Caspi neft JSC
Symbol
ISIN
Board
Sector
Category
Trades
Index
KSNF
KZ1C00000694
main
shares
standard
20.04.12
–
Characteristics of the securities
Trading code:
KSNF
List of securities:
official, category "standard"
Quotation currency:
KZT
Quotation accuracy:
2 characters
Listing date:
20.01.12
Trades opening date:
20.04.12
Market Makers:
absent
Company:
Caspi neft JSC
Share type:
ordinary
CFI:
ESVTFR
ISIN:
KZ1C00000694
BBGID:
BBG002D7SNJ4
Issue registration date:
07.12.17
Registrar:
Central securities depository JSC (Almaty)
Dividends:
payment history
Number of shares outstanding:
100 000
Issue currency:
KZT
Details of the splits carried out:
1:10
Detailed
News
Highlighted news contain information on the company ratings
17.09.24 17:33
National Company "KazMunayGas" announces personnel appointments
10.06.24 16:50
Sole shareholder of Caspi neft decided not to pay dividends on company's ordinary shares for 2023
05.06.24 10:54
Auditor's report on Caspi neft 2023 consolidated financial statements released
15.08.23 16:52
Sole shareholder of Caspi neft decides to pay dividends on ordinary shares of the company for 2022 and first quarter of 2023
02.08.23 14:36
Caspi neft intends to pay dividends on common shares KZ1C00000694 (KSNF) for 2022 and first half of 2023
06.06.23 09:46
Auditor's report on Caspi neft 2022 consolidated financial statements released
05.06.23 11:46
Sole shareholder of Caspi neft decided not to pay dividends on company's ordinary shares for 2022
29.11.22 12:32
Caspi neft pays out dividends on ordinary shares KZ1C28830012 (KZ1C00000694, KSNF) for nine months of 2022
28.11.22 13:43
Sole shareholder of Caspi neft decides to pay dividends on ordinary shares of the company for nine months of 2022
13.10.22 15:45
Sole shareholder of Caspi neft decided to pay dividends for 2019 – first quarter of 2022
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
11.05.12
11.05.12
01.01.10 – 31.12.10
154814.8
1 548 148 037,00
11.05.12
2
11.05.12
11.05.12
01.01.11 – 31.12.11
789075.58
7 890 755 884,00
11.05.12
3
12.12.12
–
01.01.12 – 30.06.12
5000.0
не выплачивались
13.12.12
4
09.12.13
–
01.01.13 – 30.06.13
5926.77
59 267 703,97
20.12.13
5
31.05.14
–
01.07.13 – 31.12.13
1061098.44
10 610 984 440,40
16.06.14
6
27.11.14
–
01.01.14 – 30.06.14
1333197.84
13 331 978 371,86
12.12.14
7
03.06.15
–
01.07.14 – 31.12.14
1096726.78
10 967 267 778,03
02.07.15
8
25.11.15
–
01.01.15 – 30.06.15
594599.52
5 945 995 244,44
15.03.16
9
30.09.16
–
01.07.15 – 31.12.15
365343.07
3 653 430 737,00
03.10.16
10
02.12.16
–
01.01.16 – 12.06.16
870710.27
не выплачивались
07.12.16
11
30.05.17
–
01.07.16 – 31.12.16
1002754.59
10 027 545 919,11
12.06.17
12
22.11.17
–
01.01.17 – 30.06.17
1084966.93
10 849 669 262,96
27.11.17
13
27.08.18
–
01.01.12 – 31.12.17
179820.0
18 065 500 000,00
29.08.18
14
26.03.18
–
01.07.17 – 31.12.17
81840.0
8 191 198 156,44
29.03.18
15
29.11.18
–
01.01.18 – 30.06.18
129337.31
12 893 132 000,00
04.12.18
16
30.04.19
–
01.01.18 – 31.12.18
214766.28
8 542 897 035,73
04.05.19
17
18.10.21
–
01.01.19 – 31.12.19
110900.0
950 000 000,00
18.10.21
18
31.05.22
–
01.01.21 – 31.12.21
–
не выплачивались
–
19
11.08.22
11.08.22
01.07.19 – 31.03.22
956103.6
95 610 360 242,00
12.08.22
20
29.09.22
29.08.22
01.07.19 – 31.03.22
109000.0
10 900 000 000,00
29.09.22
21
21.11.22
–
01.01.22 – 30.09.22
356000.0
35 600 000 000,00
21.11.22
22
30.05.23
–
01.01.22 – 31.12.22
–
не выплачивались
–
23
31.07.23
31.07.23
01.01.22 – 31.03.23
110000.0
не выплачивались
01.08.23
24
30.05.24
–
01.01.23 – 31.12.23
–
не выплачивались
–
×
Недостаточно данных для построения графика.
Подробности смотрите в таблице.