12/25/2025 11:42:58
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On December 24, 2025, the Holding paid the seventh coupon interest on its bonds (KZ2C00004547, KASE main trading platform, “bonds” category, KZAGb7) in the amount of KZT 45,000,000,000.
22.12.2025On December 19, 2025, Baiterek National Managing Holding made the payment of the tenth coupon interest on bonds with issue numbers KZ2C00007078 and KZ2C00007060.
17.12.2025On December 12, 2025, Baiterek National Managing Holding JSC made the second coupon payment on bonds of issue KZ2C00012698.
The total amount of the coupon payment amounted to KZT 6,945,000,000.00.
On 10 December 2025, ‘Baiterek’ National Managing Holding JSC made the third coupon remuneration payment on the bonds of issue KZ2C00011211.
The amount of the coupon payment totaled 6,730,000,000 tenge.
On 21 November 2025, Baiterek National Managing Holding JSC made the payment of the tenth coupon interest on the bonds of the BTRKb4 issue (ISIN KZ2C00007052). The total amount of the coupon payment was 2,825,000,000 tenge.
11.11.2025On November 5, 2025, Baiterek National Managing Holding paid coupon interest on its eurobonds (ISIN XS3067899610 / US05709VAA26) in the amount of USD 13,625,000.
28.10.2025On October 24, 2025, the Holding paid the first coupon remuneration on its bonds (KZ2C00012268, main trading platform – KASE, “bonds” category, BTRKb20) in the amount of 3,699,050,000 tenge.
22.10.2025On October 22, 2025, Baiterek National Managing Holding JSC paid the first coupon yield on bond KZ2C00012995 (BTRKb19).
KZ2C00012995, main platform – KASE, category – “Bonds” (BTRKb19), in the amount of 8,500,000,000 tenge.
On September 30, 2025, the Holding paid the ninth coupon interest on its bonds (KZ2C00008332, main platform KASE, “bonds” category, BTRKb7) in the amount of KZT 2,750,000,000.
23.09.2025