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.