| No | Seq. 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 According to the Charter and Prospectus of Issuance | |||||
| Information on Other Events Affecting the Interests of the Issuer's Shareholders (Participants) and/or Investors According to the Charter and Prospectus of Issuance | ||||||
| 1 | Date of the Event Affecting the Interests of the Issuer's Shareholders (Participants) and/or Investors According to the Charter and Prospectus of Issuance | 09.07.2019 | ||||
| Date of the Event Affecting the Interests of the Issuer's Shareholders (Participants) and/or Investors According to the Charter and Prospectus of Issuance | ||||||
| 2 | Details Affecting the Interests of the Issuer's Shareholders (Participants) and/or Investors According to the Charter and Prospectus of Issuance | Hereby, Joint Stock Company "Nurbank" (hereinafter referred to as the Bank) notifies that on 09.07.2019, a semi-annual coupon payment on the Bank's bonds with the ISIN – KZ2C00005734 and the trading code NRBNb14 was made in the amount of 50,000,000 bonds, with a nominal value of 100.00 tenge, and a coupon rate of 11.0% per annum. The total amount of the coupon payment was 275,000,000.00 tenge. | ||||
| Details Affecting the Interests of the Issuer's Shareholders (Participants) and/or Investors According to the Charter and Prospectus of Issuance | Joint Stock Company "Nurbank" (hereinafter referred to as the Bank) notifies that on 09.07.2019, a semi-annual coupon payment on the Bank's bonds with the ISIN – KZ2C00005734 and the trading code NRBNb14 was made in the amount of 50,000,000 bonds, with a nominal value of 100.00 tenge, and a coupon rate of 11.0% per annum. The total amount of the coupon payment was 275,000,000.00 tenge. | |||||