Information on Semiannual Coupon Payment for Bank Bonds

Information on Semiannual Coupon Payment for Bank Bonds

No No. Indicator Information Content
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24. Information on other events affecting the interests of the issuer's shareholders (participants) and/or investors, according to the charter and emission prospectus
Information on other events affecting the interests of the issuer's shareholders (participants) and/or investors, according to the charter and emission prospectus
1 Date of the event affecting the interests of the issuer's shareholders (participants) and/or investors, according to the charter and emission prospectus 09.12.2019  
Date of the event affecting the interests of the issuer's shareholders (participants) and/or investors, according to the charter and emission prospectus  
2 Information affecting the interests of the issuer's shareholders (participants) and/or investors, according to the charter and emission prospectus Joint Stock Company "Nurbank" (hereinafter referred to as the Bank) informs that on December 9, 2019, a semiannual coupon payment was made on the Bank's bonds with trading code NRBNb10 (ISIN KZ2C00002012) in the amount of 150,000,000 units, with a face value of 100.00 tenge, coupon rate of 7.0% per annum. The total coupon payment amount was 525,000,000.00 tenge.
Information affecting the interests of the issuer's shareholders (participants) and/or investors, according to the charter and emission prospectus Joint Stock Company "Nurbank" (hereinafter referred to as the Bank) informs that on December 9, 2019, a semiannual coupon payment was made on the Bank's bonds with trading code NRBNb10 (ISIN KZ2C00002012) in the amount of 150,000,000 units, with a face value of 100.00 tenge, coupon rate of 7.0% per annum. The total coupon payment amount was 525,000,000.00 tenge.
10.12.2019