No | No./p.p. | 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 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. |
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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. |