Information on Coupon Payment for NRBNb13 Bonds

Information on Coupon Payment for NRBNb13 Bonds

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24. Information on other events affecting the interests of shareholders (participants) of the issuer and/or investors, in accordance with the charter and bond issue prospectus of the issuer
Information on other events affecting the interests of shareholders (participants) of the issuer and/or investors, in accordance with the charter and bond issue prospectus of the issuer
1 Date of event affecting the interests of shareholders (participants) of the issuer and/or investors, in accordance with the charter and bond issue prospectus of the issuer 09.07.2019  
Date of event affecting the interests of shareholders (participants) of the issuer and/or investors, in accordance with the charter and bond issue prospectus of the issuer  
2 Information affecting the interests of shareholders (participants) of the issuer and/or investors, in accordance with the charter and bond issue prospectus of the issuer The Joint-Stock Company "Nurbank" (hereinafter referred to as the Bank) hereby notifies that on 09.07.2019 a half-yearly coupon payment was made on the Bank's bonds ISIN – KZ2C00005700 with the trading code NRBNb13 in the amount of 50,000,000 units, with a nominal value of 100.00 tenge, coupon rate – 11.0% per annum. The total amount of the coupon payment was 275,000,000.00 tenge.
Information affecting the interests of shareholders (participants) of the issuer and/or investors, in accordance with the charter and bond issue prospectus of the issuer The Joint-Stock Company "Nurbank" (hereinafter referred to as the Bank) hereby notifies that on 09.07.2019 a half-yearly coupon payment was made on the Bank's bonds ISIN – KZ2C00005700 with the trading code NRBNb13 in the amount of 50,000,000 units, with a nominal value of 100.00 tenge, coupon rate – 11.0% per annum. The total amount of the coupon payment was 275,000,000.00 tenge.
11.07.2019