| No. | Item No. | Indicator | Information Content | |||
| 1 | 2 | 3 | 4 | |||
| 24. | Information on other events affecting the interests of the issuer's shareholders (participants) and (or) investors, in accordance with the charter and the prospectus for the issuance of the issuer's securities | |||||
| Information on other events affecting the interests of the issuer's shareholders (participants) and (or) investors, in accordance with the issuer's charter and the prospectus for the issuance of securities | ||||||
| 1 | Date of the event affecting the interests of the issuer's shareholders (participants) and (or) investors, in accordance with the charter and the prospectus for the issuance of the issuer's securities | 08.09.2020 | ||||
| Date of the event affecting the interests of the issuer's shareholders (participants) and (or) investors, in accordance with the issuer's charter and the prospectus for the issuance of securities | ||||||
| 2 | Information affecting the interests of the issuer's shareholders (participants) and (or) investors, in accordance with the charter and the prospectus for the issuance of the issuer's securities | Herewith, JSC "Nurbank" (hereinafter - the Bank) notifies that on 08.09.2020, a semiannual coupon reward payment was made on the Bank's bonds ISIN KZ2C00002871 with trading code NRBNb15, totaling 100,000,000 units, nominal value of 100.00 tenge, with an interest rate of 10.95% per annum. The total payment amount was 547,500,000 tenge. | ||||
| Information affecting the interests of the issuer's shareholders (participants) and (or) investors, in accordance with the issuer's charter and the prospectus for the issuance of securities | By this notification, on 08.09.2020, JSC "Nurbank" (hereinafter - the Bank) informs about the semiannual coupon payment on the Bank's bonds with trading code NRBNb15, ISIN KZ2C00002871, amounting to 100,000,000 pieces, with a nominal value of 100.00 tenge and an annual interest rate of 10.95%. The total payment amount was 547,500,000 tenge. | |||||