08/11/2026 18:16:39
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On June 9, 2026, JSC "National Investment Holding "Baiterek" paid the fourth coupon remuneration on the KZ2C00011211 bonds.
04.06.2026On June 3, 2026, JSC "National Investment Holding "Baiterek" paid the first coupon remuneration on the KZ2C00013878 bonds.
04.06.2026On June 2, 2026, JSC "National Investment Holding "Baiterek" redeemed the KZ2C00014033 (BTRKb25) bonds and paid the first and final coupon remuneration on this issue.
22.05.2026On May 21, 2026, JSC “National Investment Holding Baiterek” paid the eleventh coupon remuneration on bonds KZ2C00007052 (BTRKb4).
04.05.2026On May 4, 2026, Baiterek National Investment Holding JSC paid its second coupon interest on bonds XS3067899610 (US05709VAA26).
27.04.2026On April 24, 2026, National Investment Holding Baiterek JSC redeemed its bonds KZ2C00012268 (BTRKb20) and paid the second (final) coupon interest.
08.04.2026On April 7, 2026, National Investment Holding Baiterek JSC redeemed its bonds KZ2C00012698 (BTRKb17) and paid the third (final) coupon interest.
07.04.2026On March 26, 2026, National Investment Holding Baiterek JSC paid the first coupon interest on its bonds (ISIN XS3189694345) in the amount of USD 11,625,000.
03.04.2026On April 1, 2026, Baiterek National Investment Holding JSC redeemed bonds KZ2C00012987 (BTRKb18) and paid the third (final) coupon interest.