Information on Coupon Payment for NRBNb12 Bonds

Information on Coupon Payment for NRBNb12 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, in accordance with the issuer's charter and the issuance prospectus of the issuer's securities
1 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 issuance prospectus of the issuer's securities 31.07.2019  
2 Information affecting the interests of the issuer's shareholders (participants) and (or) investors, in accordance with the issuer's charter and the issuance prospectus of the issuer's securities Hereby, JSC "Nurbank" (hereafter - the Bank) notifies that on 31.07.2019, a semi-annual coupon payment was made on the Bank's subordinated indexed coupon bonds ISIN - KZ2C00002897 with the trading code NRBNb12 in the amount of 33,272,435 units, the nominal value in the issue currency is 100.00 tenge, with an interest rate of 4% per annum on the indexed nominal value. The total payment amount was 139,078,778.30 tenge.
01.08.2019