Trade Information

TPIB

2 740,00
240,00 9,60%
ordinary Share KZ1C00007665
Tengri Partners Investment Banking (Kazakhstan) JSC

Недостаточно данных для построения графика

Other securities Tengri Partners Investment Banking (Kazakhstan) JSC

Symbol ISIN Board Sector Category Trades Index
TPIB KZ1C00007665 alternative shares 05.10.20
Trading code:
TPIB
List of securities:
official
Quotation currency:
KZT
Quotation accuracy:
2 characters
Number of securities in one lot:
1,0
Listing date:
30.09.20
Trades opening date:
05.10.20
Market Makers:
absent
Company:
Tengri Partners Investment Banking (Kazakhstan) JSC
Share type:
ordinary
CFI:
ESVXOR
ISIN:
KZ1C00007665
Issue registration date:
17.10.19
Registrar:
АО "Центральный депозитарий ценных бумаг" (Алматы)
Number of shares outstanding:
2 451 604
Issue currency:
KZT
Face value:
1 000,00
Dividend payment period:
not determined
Highlighted news contain information on the company ratings
14.03.25 17:53 KASE's Management Board grants consent for inclusion of proposed international bonds XS3030338159 (EBRDe28) of European Bank for Reconstruction and Development in "Securities of international financial organizations" sector of KASE official list
12.03.25 09:10 Subscription to international bonds XS3015676425 (ASDBe20) of Asian Development Bank is conducted on KASE today
07.03.25 14:20 Subscription to international bonds XS3015676425 (ASDBe20) of Asian Development Bank will be conducted on KASE on March 12
05.03.25 10:30 KASE's Management Board grants consent for inclusion of proposed international bonds XS3015676425 (ASDBe20) of Asian Development Bank in "Securities of international financial organizations" sector of KASE official list
24.02.25 14:51 /CORRECT/ European Bank for Reconstruction and Development raised KZT33.0 bn on KASE via subscription, by placing two-year international bonds XS3004202225 (EBRDe27) with a margin of 0.00 %
21.02.25 18:31 As of February 21, international bonds XS3004202225 (EBRDe27) of European Bank for Reconstruction and Development included in KASE official list's "Securities of international financial organizations" sector
20.02.25 09:22 Subscription to international bonds XS3004202225 (EBRDe27) of European Bank for Reconstruction and Development is conducted on KASE today
19.02.25 11:17 Subscription to international bonds XS3004202225 (EBRDe27) of European Bank for Reconstruction and Development will be conducted on KASE on February 20
18.02.25 14:30 KASE AWARDED MOST DISTINGUISHED MEMBERS OF THE EXCHANGE BASED ON RESULTS OF 2024
14.02.25 10:22 KASE's Management Board grants consent for inclusion of proposed international bonds XS3004202225 (EBRDe27) of European Bank for Reconstruction and Development in "Securities of international financial organizations" sector of KASE official list
All issuer news