/KASE, August 1, 2025/ – On July 29, 2025, the Management Board of
Kazakhstan Stock Exchange (KASE) decided to include the following bonds of
Kazakhstan Sustainability Fund JSC in the "commercial bonds" category of
KASE official list's main market:
1) KZ2C00014835 (KFUSb93; KZT 1,000, KZT10.0 bn; 360 days; annual
coupon, 12.50 % per annum; 30/360);
2) KZ2C00014843 (KFUSb94; KZT 1,000, KZT10.0 bn; 360 days; annual
coupon, 12.50 % per annum; 30/360);
3) KZ2C00014850 (KFUSb95; KZT 1,000, KZT10.0 bn; 360 days; annual
coupon, 12.50 % per annum; 30/360);
4) KZ2C00014868 (KFUSb96; KZT 1,000, KZT10.0 bn; 360 days; annual
coupon, 12.50 % per annum; 30/360);
5) KZ2C00014876 (KFUSb97; KZT 1,000, KZT10.0 bn; 360 days; annual
coupon, 12.50 % per annum; 30/360);
6) KZ2C00014884 (KFUSb98; KZT 1,000, KZT10.0 bn; 360 days; annual
coupon, 12.50 % per annum; 30/360);
7) KZ2C00014900 (KFUSb99; KZT 1,000, KZT10.0 bn; 360 days; annual
coupon, 12.50 % per annum; 30/360);
8) KZ2C00014918 (KFUSb100; KZT 1,000, KZT10.0 bn; 360 days; annual
coupon, 12.50 % per annum; 30/360);
9) KZ2C00014926 (KFUSb101; KZT 1,000, KZT10.0 bn; 360 days; annual
coupon, 12.50 % per annum; 30/360);
10) KZ2C00014934 (KFUSb102; KZT 1,000, KZT10.0 bn; 360 days; annual
coupon, 12.50 % per annum; 30/360);
11) KZ2C00014942 (KFUSb103; KZT 1,000, KZT20.0 bn; 360 days; annual
coupon, 12.50 % per annum; 30/360);
12) KZ2C00014959 (KFUSb104; KZT 1,000, KZT20.0 bn; 360 days; annual
coupon, 12.50 % per annum; 30/360).
This decision of the Management Board shall enter into force on August 1,
2025.
The opening of trading in the specified bonds on KASE will be announced
additionally.
More detailed information on these bond issues is published at
https://kase.kz/en/listing/issuers/KFUS
[2025-08-01]