Information on Coupon Payment for NRBNb10 Bonds

Information on Coupon Payment for NRBNb10 Bonds

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24. Information on other events affecting the interests of shareholders and investors of the joint-stock company, in accordance with the charter of the joint-stock company, as well as the prospectus of securities issuance
Information about other situations affecting the interests of shareholders and investors of the joint-stock company according to the charter, as well as the securities issuance prospectus
1 Date of the event affecting the interests of shareholders and investors of the joint-stock company, according to the charter, as well as the securities issuance prospectus 19.12.2018  
Information about other situations affecting the interests of shareholders and investors of the joint-stock company according to the charter and the securities issuance prospectus   
2 Other information affecting the interests of shareholders and investors of the joint-stock company, according to the charter and the securities issuance prospectus. The Joint-Stock Company "Nurbank" (hereinafter – Bank) hereby informs that a semi-annual coupon payment on the Bank's bonds ISIN – KZ2C0Y10D737 with trading code NRBNb10 was made on 19.12.2018, in the amount of 150,000,000 units, with a nominal value of 100.00 tenge each, at a coupon rate of 7.0% per annum. The total coupon payment amounted to 525,000,000.00 tenge.
Information about other situations related to the interests of shareholders and investors in accordance with the charter and the securities issuance prospectus  The Joint-Stock Company "Nurbank" announces that the semi-annual coupon payment was made on 19.12.2018 for the Bank's bonds with ISIN – KZ2C0Y10D737, trading code NRBNb10, in the amount of 150,000,000 units, nominal value: 100.00 tenge, annual coupon rate: 7.0%. The total coupon payment was 525,000,000.00 tenge.
20.12.2018