Payment of Semiannual Coupon Compensation and Full Redemption of JSC 'Nurbank' Bonds

Payment of Semiannual Coupon Compensation and Full Redemption of JSC 'Nurbank' Bonds

We hereby notify that on March 12, 2026, a semiannual coupon compensation payment and full redemption of the Bank's bonds, ISIN – KZ2C00002871, trading code NRBNb15, were executed. The bonds total 100,000,000 units with a nominal value of 100.00 tenge and a coupon rate of 10.95% per annum. The total coupon payment amounted to 547,500,000.00 tenge, and the redemption sum was 10,000,000,000.00 tenge.

13.03.2026