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Қазақстан қор биржасы
Казахстанская фондовая биржа
Kazakhstan Stock Exchange
Wednesday, 30 April 2025 04:14
+7 (727) 237 53 00
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FFIN
FFIN
5 900,00
0
0%
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Registration
ordinary
Share
KZ1C00001262
Freedom Finance JSC
Trades
Characteristics of the securities
Prospectuses
News
Trades
Archive
Intraday
Недостаточно данных для построения графика
Other securities Freedom Finance JSC
Symbol
ISIN
Board
Sector
Category
Trades
Index
FFIN
KZ1C00001262
main
shares
standard
21.12.16
–
FFINgw
KZPF00000090
mix
investment fund securities
–
13.02.20
–
FFIN_or
KZPF00000082
mix
investment fund securities
–
28.07.17
–
Characteristics of the securities
Trading code:
FFIN
List of securities:
official, category "standard"
Quotation currency:
KZT
Quotation accuracy:
2 characters
Listing date:
03.11.16
Trades opening date:
21.12.16
Market Makers:
absent
Company:
Freedom Finance JSC
Share type:
ordinary
ISIN:
KZ1C00001262
BBGID:
BBG00F6JQKM1
Registrar:
Central securities depository JSC (Almaty)
Dividends:
payment history
Number of shares outstanding:
15 208 399
Issue currency:
KZT
Face value:
1 000,00
Dividend payment period:
not determined
News
Highlighted news contain information on the company ratings
29.04.25 16:21
Information on shares and shareholders of "LIC "Freedom Life" as of April 1, 2025
28.04.25 12:39
KASE APPROVES MAY 2025 LISTS OF FIRST, SECOND AND THIRD LIQUIDITY CLASS SECURITIES
23.04.25 09:50
Information on shares and shareholders of Aktobe Metalware Plant as of April 1, 2025
11.04.25 18:00
As of April 14, Freedom Finance assigned status of market-maker on KASE for bonds KZ2C00013266 (MFOKb25) of Microfinance Organization OnlineKazFinance
09.04.25 11:01
Freedom Finance paid dividends on units of KZPF00000082 (FFIN_or) of IUIT "Fixed Income USD" for first quarter of 2025
03.04.25 16:49
Board of Directors of Freedom Finance decided to issue common shares KZ1C00001262 (FFIN)
31.03.25 18:13
Microfinance Organization OnlineKazFinance on March 31 raised KZT6.9 bn on KASE via subscription by placing three-year bonds KZ2C00013266 (MFOKb25) at yield to maturity of 21.50 % APR
31.03.25 09:00
Subscription for bonds KZ2C00013266 (MFOKb25) of Microfinance Organization OnlineKazFinance is held on KASE today
28.03.25 09:54
/REPEAT/ On March 31, subscription for bonds KZ2C00013266 (MFOKb25) of Microfinance Organization OnlineKazFinance will be held on KASE
27.03.25 18:00
Eurasian Development Bank on March 27 raised KZT50.0 bn on KASE by placing three-year bonds KZ2D00013620 (EABRb53) at a margin of 1.00 %
All issuer news
№
Дата протокола
или решения
Дата и время
фиксации реестра
Период, за который
выплачиваются дивиденды
Размер дивиденда
на одну акцию
Сумма выплаты
в валюте выпуска
Дата начала
выплаты дивидендов
1
–
21.11.16
01.01.15 – 31.12.15
400.0
800 000 000,00
22.11.16
2
–
21.11.16
01.01.15 – 31.12.15
400.0
не выплачивались
22.11.16
3
27.09.17
–
01.01.16 – 31.12.16
506.89
не выплачивались
28.09.17
4
28.05.20
–
01.01.19 – 31.12.19
–
не выплачивались
–
5
28.05.21
–
01.01.20 – 31.12.20
–
не выплачивались
–
6
30.05.22
–
01.01.21 – 31.12.21
–
не выплачивались
–
7
–
30.06.22
01.04.22 – 30.06.22
–
36 140 849,00
–
8
23.07.24
–
01.01.23 – 31.12.23
–
не выплачивались
–
9
–
31.12.24
01.01.24 – 31.12.24
188.418441
27 624 053,30
–
10
–
31.12.24
01.10.24 – 31.12.24
646.151204
43 205 910,65
–
×
Недостаточно данных для построения графика.
Подробности смотрите в таблице.