07/09/2025 17:12:47
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On July 9, 2025, the Holding paid the thirteenth coupon interest on its bonds
09.07.2025On July 8, 2025, the Holding paid the seventh coupon interest on its bonds (KZ2C00008332, main trading platform: KASE, category: “bonds”, BTRKb8) in the amount of KZT 3,025,000,000.
01.07.2025On June 23, 2025, the Corporate Governance Code of ‘Baiterek’ National Managing Holding JSC was approved.
20.06.2025On March 31, 2025, the Holding paid the eighth coupon payment on its bonds (KZ2C00007383, main platform: KASE, category: "bonds", BTRKb7) in the amount of KZT 2,750,000,000.
26.03.2025On March 26, 2025, the Holding made the first coupon payment on its bonds (KZ2C00011245, main KASE platform, "bonds" category, BTRKb14) in the amount of 2,427,250,000 tenge.
20.02.2025On 19 February 2025, the Holding paid the first coupon on its bonds (KZ2C00010304, main platform of KASE, "bonds" category, BTRKb9) in the amount of KZT 24,700,000,000.
30.01.2025On January 29, Baiterek National Managing Holding JSC redeemed the bonds KZ2C00002988 (KZAGb2) on January 27, 2025, and paid the final – 20th coupon payment on the bonds.
21.01.2025On January 17, 2025, the Holding paid the sixteenth coupon remuneration on its bonds (KZ2C00003812, KASE main platform, "bonds" category, KZAGb4) in the amount of 2,782,500,000 tenge.
09.01.2025On January 8, 2025, the Holding paid the first coupon interest on its bonds (KZ2C00011237, KASE main trading platform, "bonds" category, BTRKb13) in the amount of 5,589,225,371.75 tenge.