Information on Coupon Payment for Bonds

Information on Coupon Payment for Bonds

Dear Clients,

JSC "Nurbank" (hereinafter referred to as the Bank) informs you that on June 16, 2023 - before the end of the payout period on June 16, 2023, the semi-annual coupon payment and full redemption of the Bank's bonds ISIN – KZ2C00002012 with the trading code NRBNb10 in the amount of 150,000,000 units, with a nominal value of 100.00 tenge, and a coupon rate of 7.0% per annum, were carried out. The total coupon payment amounted to 525,000,000.00 tenge, and the redemption amount was 15,000,000,000.00 tenge.

16.06.2023