National company "KazMunayGaz" JSC (KMGZ)

Capitalization: the total market value of shares of the company – KZT7,499,997.01 m. ($19,384.3 m.)
Contacts: 19 Kabanbai Batyr ave., Esil district , Astana, 010000, Republic of Kazakhstan;
Phone: (7172) 78 61 58, 78 62 15;
Fax: (7172) 78 60 00
Web site: http://www.kmg.kz/
E-mail: аstana@kmg.kz
Main activity:carrying out oil operations on blocks awarded to the company on the basis of direct negotiations; technological monitoring of oil and gas development; oil and gas transportation services by all means of transport.
Chief Executive Officer:Chairman of the Management Board Alik Aidarbaev
Credit ratings*:Moody's Investors Service: Baa3/stable (08/01/17)
Standard & Poor's: BB/stable/, kzA+ (11/08/18)
Fitch Ratings: http://www.fitchratings.com

Instruments of National company "KazMunayGaz" JSC included into trade lists

Trade code NIN or ISIN Board Sector Category Trades Index
KMGZKZ1C49280015
KZ1C00001122
mainsharesstandard08/03/15
KMGZe6XS0925015074
US46639UAA34
maindebt securitiesbonds07/10/13
KMGZe10XS1595713279
US48667QAM78
maindebt securitiesbonds07/01/17
KMGZe11XS1595713782
US48667QAN51
maindebt securitiesbonds07/01/17
KMGZe12XS1595714087
US48667QAP00
maindebt securitiesbonds07/01/17
KMGZe13XS1807299174
US48667QAR65
maindebt securitiesbonds06/01/18
KMGZe14XS1807300105
US48667QAQ82
maindebt securitiesbonds06/01/18
KMGZe15XS1807299331
US48667QAS49
maindebt securitiesbonds06/01/18
KMGZe6_USDXS0925015074
US46639UAA34
maindebt securitiesоблигации07/10/13
KMGZe10_USDXS1595713279
US48667QAM78
maindebt securitiesоблигации07/01/17
KMGZe11_USDXS1595713782
US48667QAN51
maindebt securitiesоблигации07/01/17
KMGZe12_USDXS1595714087
US48667QAP00
maindebt securitiesоблигации07/01/17
KMGZe13_USDXS1807299174
US48667QAR65
maindebt securitiesоблигации06/01/18
KMGZe14_USDXS1807300105
US48667QAQ82
maindebt securitiesоблигации06/01/18
KMGZe15_USDXS1807299331
US48667QAS49
maindebt securitiesоблигации06/01/18

Shareholders as of 07/01/19 ( ← previous extract)

Shareholder Common shares Preferred
shares
Total shares
number shareholding number shareholding
"Sovereign Wealth Fund "Samruk-Kazyna" JSC 551,698,745 90.42 551,698,745 90.42
RSI National Bank of the Republic of Kazakhstan 58,420,748 9.58 58,420,748 9.58
Authorized ordinary shares, pieces849,559,596
Authorized preferred shares, pieces
Issued ordinary shares, pieces610,119,493
Issued preferred shares, pieces
Treasury ordinary shares, pieces
Treasury preferred shares, pieces
Outstanding ordinary shares, pieces610,119,493
Outstanding preferred shares, pieces


Financial performance

IndicatorAs of 04/01/19As of 01/01/19
Authorized capital916,541.00 th. KZT 916,540,545.00 th. KZT
Equity capital7,401,325.00 th. KZT7,143,068,313.00 th. KZT
Total assets14,010,343.00 th. KZT14,015,279,566.00 th. KZT
Sales volume1,765,271.00 th. KZT6,988,964,296.00 th. KZT
Gross revenue414,088.00 th. KZT1,635,471,835.00 th. KZT
Net income309,200.00 th. KZT693,510,954.00 th. KZT
Book value of common share12,000.00 KZT11,424.00 KZT
ROA2.21%4.95%
ROE4.18%9.71%
ROS17.52%9.92%


Documents

DocumentSubmission date
Global Medium Term Note Programme ($10.5 bn)03/13/18
Final terms of global medium term note programme of international bonds (KMGZe15)03/13/18
Final terms of global medium term note programme of international bonds (KMGZe14)03/13/18
Final terms of global medium term note programme of international bonds (KMGZe13)03/13/18
Global Medium Term Note Programme ($10.5 bn)04/18/17
Final terms of global medium term note programme of international bonds (KMGZe12)04/18/17
Final terms of global medium term note programme of international bonds (KMGZe11)04/18/17
Final terms of global medium term note programme of international bonds (KMGZe10)04/18/17
Supplemental trust deed_5 of 28 July 201508/18/15
Supplemental trust deed_4 of 28 July 201508/18/15
Supplemental trust deed_3 of 28 July 201508/18/15
Supplemental trust deed_2 of 28 July 201508/18/15
Supplemental trust deed_1 of 28 July 201508/18/15
Final terms of global medium term note programme of international bonds (KMGZe9)11/07/14
Final terms of global medium term note programme of international bonds (KMGZe8)11/07/14
Supplemental trust deed relating to KazMunaiGaz Finance Sub B.V. USD 10,5 bn Global Medium Term Note Programme11/07/14
Prospectus of global medium term note programme of international bonds (KMGZe8), (KMGZe9)11/06/14
Prospectus of the program of medium-term global bonds issue to the amount of USD10.5 bn04/30/13
Terms and conditions of the international bonds (KMGZe6)03/18/13
Terms and conditions of the international bonds (KMGZe7)03/18/13
Submitted earlier:
  • 2013
  • 2011
  • 2010
Global Medium Term Note Programme ($10.5 bn)04/22/13
Supplemental agency agreement relating to KazMunaiGaz Finance Sub B.V. USD7,5 bn Guaranteed Debt Issuance Programme04/01/11
Supplemental trust deed relating to KazMunaiGaz Finance Sub B.V. USD7,5 bn Guaranteed Debt Issuance Programme04/01/11
Prospectus of global medium term note programme10/22/10
Changes to prospectus of international bonds issue (KMGZe3)10/22/10
Prospectus of international bonds issue (KMGZe5) under the first bond programme11/11/10
Global Medium Term Note Programme10/22/10
Terms and conditions of the notes (KMGZe5)11/12/10
Offering circular of the eurobonds11/02/10
DocumentSubmission date
JSC NC KazMunayGas consolidated operating and financial results for the first quarter of 201906/07/19
JSC NC KazMunayGas operating and financial results for 201804/12/19
JSC NC KazMunayGas financial and operating results for the nine months ended 30 September, 201811/26/18
National Company KazMunayGas Operational and financial results 9M 2018 11/26/18
JSC NC KazMunayGas financial and operating results for the first half of 201809/10/18
JSC NC “KAZMUNAYGAS” AND KMG FINANCE SUB B.V. ANNOUNCE RESULTS OF MEETINGS AND TENDER OFFERS TO THE HOLDERS OF THE OUTSTANDING:05/03/18
JSC NC KazMunayGas (“KMG”) announces successful issue of 7, 12 and 30.5-year Eurobonds for a total of U.S.$ 3.25 bn under KMG’s ongoing liability management exercise04/24/18
JSC NC “KAZMUNAYGAS” AND KMG FINANCE SUB B.V. ANNOUNCE INSTRUCTIONS RECEIVED AS OF THE EARLY PARTICIPATION DEADLINE FOR THE TENDER OFFERS AND CONSENT SOLICITATIONS IN RESPECT OF THE FOLLOWING SERIES OF NOTES ISSUED UNDER THEIR GLOBAL MEDIUM TERM NOTE PROGRAMME:04/17/18
NATIONAL COMPANY KAZMUNAYGAS ANNOUNCES FORTHCOMING MEETINGS WITH PROSPECTIVE INVESTORS IN KAZAKHSTAN, EUROPE AND THE U.S. WITHIN A POSSIBLE EUROBONDS ISSUE04/03/18
NATIONAL COMPANY KAZMUNAYGAS ANNOUNCES TENDER OFFER AND CONCURRENT CONSENT SOLICITATION WITH RESPECT TO ITS 4 OUTSTANDING EUROBOND ISSUES04/03/18
2017 financial and operational results of NC KazMunayGas03/21/18
NC KMG Supports KMG EP Tender Offer12/08/17
NC KazMunayGas’s financial and operational results for 9M 201712/06/17
JSC NC “KazMunayGas” (“KMG” or the “Issuer”) and KazMunaiGaz Finance Sub B.V. (“KMG Finance”) announce the outcome of meetings with respect to the consent solicitation in relation to the outstanding notes issued by KMG detailed in the table below (each of the six series of notes referred to below, a “Series”, and all outstanding notes of all Series collectively, the “Notes”)10/13/17
On change of solicitation of consent with regard to Eurobonds of six issues10/05/17
JSC NC “KazMunayGas” and KazMunaiGaz Finance Sub B.V. announce a consent solicitation in relation to the outstanding notes issued by KMG detailed in the table below09/21/17
Regarding discontinuation of requests for consent in respect of ten issues of international bonds 07/11/17
Sustainable Development Report for 201607/01/17
The composition of the Board of Directors of JSC NC KazMunayGas was changed06/30/17
on turning to holders for their consent with regard to international bonds of ten issues06/20/17
National company "KazMunayGaz" JSC announced about reports on the successful placement in the United States pursuant to Rule 144A and outside the United States pursuant to Regulation S of 5, 10 and 30-year Eurobond issuances with a total volume of US $2.75 billion.reports on the successful placement in the United States pursuant to Rule 144A and outside the United States pursuant to Regulation S of 5, 10 and 30-year Eurobond issuances with a total volume of US $2.75 billion. 04/20/17
JSC NC "KazMunayGas" (KMG) reports on the successful placement in the United States pursuant to Rule 144A and outside the United States pursuant to Regulation S of 5, 10 and 30-year Eurobond issuances with a total volume of US $2.75 billion.04/20/17
On planned investor meetings04/03/17
JSC NC “KazMunayGas” (“KMG” or the “Issuer”) and KazMunaiGaz Finance Sub B.V. (“KMG Finance”) announce the outcome of meetings with respect to the consent solicitation in relation to the outstanding notes issued by KMG detailed in the table below (each of the seven series of notes referred to below, a “Series”, and all outstanding notes of all Series collectively, the “Notes”) 03/31/17
National Company KazMunayGas turns to bondholders for consent regarding international bonds of seven issues03/09/17
Submitted earlier:
  • 2016
  • 2015
  • 2012
  • 2010
NC KMG Proposals for KMG EP: Factual update07/19/16
Open letter of National Company KazMunayGas to KazMunayGas Exploration Production 07/15/16
CIRCULAR dated 17 June 2016 (as amended on 12 July 2016)07/14/16
Amendments to NC KMG proposals regarding KMG EP07/13/16
CIRCULAR dated 17 June 2016 06/17/16
JSC NATIONAL COMPANY KAZMUNAYGAS ANNOUNCES EARLY TENDER RESULTS11/20/15
JSC NATIONAL COMPANY KAZMUNAYGAS ANNOUNCES CASH TENDER OFFER FOR CERTAIN OUTSTANDING DEBT SECURITIES11/05/15
JSC National Company KazMunayGas and KazMunaiGaz Finance Sub B.V. announce amendments to the consent solicitation in relation to the outstanding notes issued by KMG07/02/15
JSC National Company KazMunayGaz and KazMunayGaz Finance Sub B.V. announce a consent solitation in relation to the outstanding notes issued by KMG07/01/15
Signing of Memorandums and Agreements within the frame of Investment Forum "Establishment of new production facilities in the Western Kazakhstan".09/26/12
Investment Forum "Establishing new industries in Western Kazakhstan"09/24/12
Y 2012 corporate events calendar01/27/12
JSC KazMunaiGas Exploration Production 9 months 2010 Financial results11/12/10
National company "KazMunayGaz" JSC and KazMunaiGas EP JSC take steps to implement asset acquisition stratregy and treasury policy02/12/10


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