| No | Serial 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, in accordance with the issuer's charter and the prospectus for the issuance 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 for the issuance of the issuer's securities | ||||||
| 1 | Date of event affecting the interests of the issuer's shareholders (participants) and/or investors, in accordance with the issuer's charter and the prospectus for the issuance of the issuer's securities | 27.02.2019 | ||||
| Date of event affecting the interests of the issuer's shareholders (participants) and/or investors, in accordance with the issuer's charter and the prospectus for the issuance of the issuer's securities | ||||||
| 2 | Information affecting the interests of the issuer's shareholders (participants) and/or investors, in accordance with the issuer's charter and the prospectus for the issuance of the issuer's securities | АО "Nurbank" hereby notifies that in accordance with the terms of the bond issuance prospectus NRBNb15, ISIN KZ2C00002871, as a result of the first trading session on bond placement, the interest rate for the entire period of bond circulation was set at 10.95% per annum. | ||||
| Information affecting the interests of the issuer's shareholders (participants) and/or investors, in accordance with the issuer's charter and the prospectus for the issuance of the issuer's securities | АО "Nurbank" hereby notifies that in accordance with the terms of the bond issuance prospectus NRBNb15, ISIN KZ2C00002871, as a result of the first trading session on bond placement, the interest rate for the entire period of bond circulation was set at 10.95% per annum. | |||||
| 3 | In case of non-compliance by the issuer with the terms provided for in the prospectus for the issuance of non-government bonds: | |||||
| In case the issuer does not comply with the requirements stipulated in the prospectus for the issuance of non-government bonds: | ||||||
| 1 | Volume of unmet obligations, tenge | |||||
| Volume of unmet obligations, tenge | ||||||
| 2 | Reason for non-fulfillment of obligations | |||||
| Reasons for non-fulfillment of obligations | ||||||
| 3 | National Identification Number (NIN) or International Identification Number (ISIN) of the bonds | |||||
| National Identification Number (NIN) or International Identification Code (ISIN) of the bonds | ||||||
| 4 | Type of bonds | |||||
| Type of bonds | ||||||
| 5 | Number of placed bonds | |||||
| Number of placed bonds | ||||||
| 6 | Coupon rate size | |||||
| Coupon rate size | ||||||
| 7 | Default date | |||||
| Default date | ||||||
| 8 | Amount of debt on coupon remuneration, tenge | |||||
| Amount of debt on coupon remuneration, tenge | ||||||
| 9 | Amount of debt on principal debt, tenge | |||||
| Amount of debt on principal debt, tenge | ||||||
| 10 | Outstanding debt balance, tenge | |||||
| Outstanding debt balance, tenge | ||||||