Trade Information
Contacts:
Telephone: (7172) 64 40 00
Republic of Kazakhstan, Z05K7B0, Astana, Syganak str., 70
Primary activity:
brokerage and dealer activities
Chief executive officer:
Salimov Timur Ravkhatovich Chairman of the Management Board
Symbol ISIN Board Sector Category Trades Index
FHJIag KZPF00000132 mix investment fund securities 31.12.20
FHJIds KZPF00000173 mix investment fund securities 31.12.20
FHJIhm KZPF00000124 mix investment fund securities 31.12.20
FHJIpc KZPF00000140 mix investment fund securities 30.01.20

as of April 1, 2025 ( previous extract )

Shareholder Common shares, pieces Common shares, shareholding % Preferred shares Total shares, pieces Total shares, shareholding %
"First Heartland Jusan Bank" JSC 18 937 691 100,00 18 937 691 95,00
           
Authorized ordinary shares, pieces 110 000 000
Authorized preferred shares, pieces
Issued ordinary shares, pieces 19 934 411
Issued preferred shares, pieces
Treasury ordinary shares, pieces 996 720
Treasury preferred shares, pieces
Outstanding ordinary shares, pieces 18 937 691
Outstanding preferred shares, pieces
IndicatorAs of 01.04.25As of 01.01.25
Authorized capital 40 012 639,00 тыс. KZT 40 012 639,00 тыс. KZT
Equity capital 50 477 714,00 тыс. KZT 51 250 519,00 тыс. KZT
Total assets 51 466 278,00 тыс. KZT 55 762 991,00 тыс. KZT
Total liabilities 988 564,00 тыс. KZT 4 512 472,00 тыс. KZT
Net income 712 050,00 тыс. KZT 6 219 830,00 тыс. KZT
ROA 1,38% 11,15%
ROE 1,41% 12,14%
Document type:
Submission year:
Document Submission period Submission date
23.10.24
Documents not found
Highlighted news contain information on the company ratings
10.07.25 19:15 TSSP Group on July 10 raised KZT 87.9 mln on KASE via subscription by placing three-year bonds KZ2P00008113 (TSSPb1) at yield to maturity of 22.00 % APR
10.07.25 09:47 Subscription for bonds KZ2P00008113 (TSSPb1) of TSSP Group is held on KASE today
09.07.25 11:19 On July 10, subscription for bonds KZ2P00008113 (TSSPb1) of TSSP Group will be held on KASE
01.07.25 09:03 /REPEAT/ KASE FORMED THE LISTS OF SECURITIES OF THE FIRST, SECOND AND THIRD LIQUIDITY CLASSES FOR JULY 2025
27.06.25 15:18 KASE FORMED THE LISTS OF SECURITIES OF THE FIRST, SECOND AND THIRD LIQUIDITY CLASSES FOR JULY 2025
27.06.25 11:08 From June 27, First Heartland Jusan Invest JSC was assigned the market maker status on KASE for bonds KZ2C00013753 (KASAb1) of Kazakhstan Electrolysis Plant JSC
26.06.25 19:03 Microfinance Organization R-Finance LLP raised 302.4 mln tenge on KASE on June 26 by placing three-year bonds KZ2P00014004 (MFRFb19) at 21.00% per annum
26.06.25 09:04 Today, KASE holds special trading session for placement of 500,000 bonds KZ2P00014004 (MFRFb19) of Microfinance Organization R-Finance LLP
25.06.25 12:51 From June 25, First Heartland Jusan Invest JSC was assigned the market maker status on KASE for four bond issues of National Management Holding Baiterek JSC
24.06.25 16:01 On June 26, KASE held special trading session for placement of 500,000 bonds KZ2P00014004 (MFRFb19) of Microfinance Organization R-Finance LLP
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