Trade Information

KZ_25_3707

coupon international bonds XS3093658014 (US486661BP50)
The Ministry of Finance of the Republic of Kazakhstan
Last coupon rate, % APR : 5,500
Days to maturity: 4 298
Circulation period: 01.07.25 – 01.07.37

Last 10 deals with KZ_25_3707
(except for special trading sessions)

Other securities The Ministry of Finance of the Republic of Kazakhstan

Symbol ISIN Sector Trades
KZ_16_2709 RU000A101RV2
government securities 08.10.20
KZ_17_3009 RU000A101RZ3
government securities 08.10.20
KZ_18_2606 RU000A101RT6
government securities 12.07.21
KZ_19_2806 RU000A101RW0
government securities 12.07.21
KZ_20_3106 RU000A101S08
government securities 12.07.21
KZ_21_3106 RU000A101S16
government securities 12.07.21
KZ_22_4507 XS1263139856
US486661AH44
government securities 27.08.22
KZ_23_3504 XS2914770545
XS2914770974
government securities 18.10.24
KZ_24_3207 XS3093655341
US486661BN03
government securities 02.07.25
KZ_25_3707 XS3093658014
US486661BP50
government securities 02.07.25
Symbol ISIN Sector Trades
KZ_06_4410 XS1120709826
US486661AF87
government securities 29.10.14
KZ_10_2811 XS1901718335
government securities 19.08.19
KZ_14_2609 XS2050933899
government securities 18.05.20
Symbol ISIN Sector Trades
MUX072_0003 government securities 01.04.25
Symbol ISIN Sector Trades
MUM072_0013 government securities 20.05.21
MUM072_0014 government securities 06.03.23
MUM072_0015 government securities 11.03.24
MUM084_0018 government securities 13.04.21
MUM084_0019 government securities 23.02.24
MUM084_0020 government securities 07.03.25
MUM096_0011 government securities 28.10.20
MUM096_0012 government securities 29.07.21
MUM096_0013 government securities 07.02.22
MUM096_0014 government securities 15.05.23
MUM096_0015 government securities 09.06.25
MUM108_0012 government securities 03.07.17
MUM108_0013 government securities 31.03.20
MUM108_0014 22.05.23
MUM108_0015 government securities 07.03.25
MUM120_0017 government securities 06.03.17
MUM120_0018 government securities 03.07.17
MUM120_0019 government securities 18.03.21
MUM120_0020 government securities 14.02.25
MUM132_0007 government securities 27.07.21
MUM144_0006 government securities 15.08.13
MUM144_0009 government securities 24.08.21
MUM156_0005 government securities 20.06.14
MUM156_0006 government securities 10.05.18
MUM156_0007 government securities 18.02.21
MUM156_0008 government securities 23.05.25
MUM168_0001 government securities 03.10.11
MUM168_0002 government securities 16.11.11
MUM168_0003 government securities 16.04.18
MUM168_0005 government securities 11.03.21
MUM180_0003 government securities 24.11.10
MUM180_0004 government securities 18.08.11
MUM180_0005 government securities 23.11.11
MUM180_0006 government securities 27.03.12
MUM180_0007 government securities 18.09.12
MUM180_0008 government securities 24.10.12
MUM180_0009 government securities 10.12.13
MUM180_0011 government securities 13.08.14
MUM180_0012 government securities 04.02.15
MUM180_0013 government securities 04.04.18
MUM180_0014 government securities 23.04.18
MUM180_0015 government securities 26.08.21
MUM180_0016 government securities 31.01.22
MUM192_0001 government securities 19.10.11
MUM192_0002 government securities 18.04.12
MUM192_0003 government securities 20.09.12
MUM216_0001 government securities 30.07.18
MUM216_0002 government securities 11.02.19
MUM240_0001 government securities 24.04.12
MUM240_0002 government securities 12.05.14
MUM240_0004 government securities 29.01.15
MUM300_0001 government securities 20.12.13
MUM300_0002 government securities 25.07.14
MUM300_0003 government securities 26.02.15
MUM360_0001 government securities 26.09.14
Symbol ISIN Sector Trades
MUJ144_0005 government securities 27.11.13
MUJ156_0004 government securities 30.09.13
MUJ168_0004 government securities 29.03.12
MUJ168_0005 government securities 28.08.12
MUJ180_0007 government securities 28.10.10
MUJ180_0008 government securities 13.12.13
MUJ192_0002 government securities 29.10.09
MUJ192_0003 government securities 28.05.10
MUJ192_0004 government securities 24.02.14
MUJ204_0001 government securities 28.05.09
MUJ204_0002 government securities 30.07.09
MUJ204_0003 government securities 29.04.10
MUJ204_0004 government securities 29.07.10
MUJ204_0005 government securities 28.02.12
MUJ204_0006 government securities 28.06.12
MUJ216_0001 government securities 29.06.09
MUJ216_0002 government securities 26.11.09
MUJ216_0003 government securities 25.02.10
MUJ216_0004 government securities 27.08.11
MUJ216_0005 government securities 30.05.12
MUJ228_0001 government securities 27.08.09
MUJ228_0002 government securities 30.12.09
MUJ228_0003 government securities 29.06.10
MUJ228_0004 government securities 28.01.11
MUJ228_0005 government securities 29.09.11
MUJ228_0006 government securities 27.09.12
MUJ240_0001 government securities 29.12.11
Symbol ISIN Sector Trades
MTM036_0001 government securities 08.08.22
MTM048_0001 government securities 12.09.22
MTM060_0001 government securities 17.10.22
MTM072_0001 government securities 21.11.22
MTM084_0001 government securities 06.03.23
MTM096_0001 government securities 16.01.23
Symbol ISIN Sector Trades
MOM048_0052 government securities 24.01.22
MOM048_0053 government securities 27.06.22
MOM048_0054 government securities 19.09.22
MOM060_0052 government securities 05.08.21
MOM060_0054 government securities 21.11.22
Symbol ISIN Sector Trades
MKM012_0159 government securities 28.10.24
MKM012_0160 government securities 07.02.25
MKM012_0161 government securities 16.05.25
Trading code:
KZ_25_3707
List of securities:
official, mix board, category "government securities"
System of quotation:
clean price
Unit of quotation:
nominal value percentage fraction
Quotation currency:
USD
Quotation accuracy:
4 characters
Number of securities in one lot:
1 000,0
Trade lists admission date:
01.07.25
Trade opening date:
02.07.25
Market Makers:
absent
Bond's name:
coupon international bonds
Current coupon rate, % APR:
5,500
ISIN:
XS3093658014
ISIN (144А):
US486661BP50
Currency of issue and service:
USD
Nominal value in issue's currency:
1,00
Number of registered bonds:
1 150 000 000
Issue volume, USD:
1 150 000 000
Number of bonds outstanding:
35 200 000
Settlement basis (days in month / days in year:
30/360
Date of circulation start:
01.07.25
Circulation term, years:
12,00
Circulation term, days:
4 320
Number of days till nearest coupon payment:
158
Registry fixation date of the nearest coupon payment:
31.12.25
Date of the next coupon payment:
01.01.26
Coupon payment schedule:
Register fixation date at maturity:
30.06.37
Maturity date:
01.07.37
Highlighted news contain information on the company ratings
22.07.25 18:51 Kazakhstan's Ministry of Finance on July 22 placed 68.2 mln MEUKAM KZKD00000477 (MUM192_0001) on KASE at weighted average yield to maturity of 16.93 % APR
22.07.25 18:49 Kazakhstan's Ministry of Finance on July 22 placed 86.9 mln MEUKAM KZKD00000964 (MUM156_0006) on KASE at weighted average yield to maturity of 16.92 % APR
22.07.25 18:44 Kazakhstan's Ministry of Finance on July 22 placed 6.6 mln MEUKAM KZKD00001277 (MUM108_0015) on KASE at yield to maturity of 16.80 % APR
22.07.25 15:38 On July 22, repeated special trading session for offering of MEUKAM KZKD00000477 (MUM192_0001) with settlement on July 24 was held on KASE
22.07.25 15:35 On July 22, repeated special trading session for offering of MEUKAM KZKD00001277 (MUM108_0015) with settlement on July 24 was held on KASE
22.07.25 15:35 On July 22, repeated special trading session for offering of MEUKAM KZKD00000964 (MUM156_0006) with settlement on July 24 was held on KASE
22.07.25 15:27 Special trading session for additional offering of MEUKAM KZKD00000477 (MUM192_0001) with settlement on July 24 and current maturity of 2.2 years will be held on KASE today from 15:30 to 16:00
22.07.25 15:25 Special trading session for additional offering of MEUKAM KZKD00000964 (MUM156_0006) with settlement on July 24 and current maturity of 5.8 years will be held on KASE today from 15:30 to 16:00 o'clock
22.07.25 15:23 Special trading session for additional offering of MEUKAM KZKD00001277 (MUM108_0015) with settlement on July 24 and current maturity of 8.6 years will be held on KASE today from 15:30 to 16:00 o'clock
17.07.25 17:49 Ministry of Finance of Kazakhstan raised KZT 84.7 bn by placing on KASE on July 15 MEUKAM KZKD00000543 (MUM192_0002) at weighted average yield to maturity of 16.85 % per annum
All issuer news