Information on Reward Payment

Information on Reward Payment

No No./p.p. Indicator Information content
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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 of the issue 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 of the issue 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 of the issue of the issuer's securities 06.09.2019  
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 of the issue of securities  
2 Information affecting the interests of the issuer's shareholders (participants) and (or) investors, in accordance with the charter and the prospectus of the issue of the issuer's securities Hereby, Joint Stock Company "Nurbank" (hereinafter – the Bank) notifies that on 06.09.2019 a semi-annual coupon payment was made on the Bank's bonds ISIN KZ2C00002871 with the trading code NRBNb15 in the amount of 100,000,000 units, par value of 100.00 tenge, coupon rate – 10.95% per annum.
The total amount of the coupon payment was 547,500,000.00 tenge.
Information affecting the interests of the issuer's shareholders (participants) and (or) investors, in accordance with the issuer’s charter and the prospectus of the issue of securities Joint Stock Company "Nurbank" (hereinafter – the Bank) announces that on 06.09.2019 a semi-annual coupon payment was made on the Bank's bonds ISIN KZ2C00002871, trading code NRBNb14, amount: 100,000,000 units, nominal value: 100.00 tenge, annual coupon rate: 10.95%.
The total coupon payment amount was 547,500,000.00 tenge.
09.09.2019