Debt instruments

Debt instruments

ISIN: KZP01Y20B553 (KZ2C00000024)
Number of registered bonds: 500,000,000,000 notes
Outstanding debt: KZT 637,350,000.00
Interest rate: 8,00 %
Circulation period: 20.10.02 – 20.10.22
Coupon payment: March 20 / October 20 (semi-annual)
Trade code: TEBNb4 KASE
Bond Program First bonded program (B55)
State register №: В55-1



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Changes in the prospectus

ISIN: KZP04Y19B559 (KZ2C00000040)
Number of registered bonds: 300,000,000,000 notes
Outstanding debt: KZT 2,183,308,666.67
Interest rate: 8,00 %
Circulation period: 01.06.06 – 01.06.2025
Coupon payment: J01 June / 01 December (semi-annual)
Trade code: TEBNb7 KASE
Bond Program First bonded program (B55)
State register №: В55-4



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Changes in the prospectus

ISIN: KZP07Y20B550 (KZ2C00000065)
Number of registered bonds: 450,000,000,000 notes
Outstanding debt: KZT 1,611,893,070.35
Interest rate: 8.00 %
Circulation period: 29.11.06 – 29.11.2026
Coupon payment: May 29 / November 29 (semi-annual)
Trade code: TEBNb10 KASE
Bond Program First bonded program (B55)
State register №: В55-7
ISIN: KZP08Y25B557 (KZ2C00000073)
Number of registered bonds: 400,000,000,000 notes
Outstanding debt: KZT 3,163,131,975.33
Interest rate: 8.00 %
Circulation period: 29.11.06 – 29.11.2031
Coupon payment: May 29 / November 29 (semi-annual)
Trade code: TEBNb11 KASE
Bond Program First bonded program (B55)
State register №: В55-8



Prospectus



Changes in the prospectus

ISIN: KZP03Y19C336 (KZ2C00000107)
Number of registered bonds: 600,000,000,000 notes
Outstanding debt: KZT 963,803,194.86
Interest rate: 8.00 %
Circulation period: 14.04.07 – 14.04.2026
Coupon payment: April 14 / October 14 (semi-annual)
Trade code: TEBNb14 KASE
Bond Program Second bond program (C33)
State register №: С33-3



Prospectus



Changes in the prospectus

ISIN: KZP04Y19C334 (KZ2C00000115)
Number of registered bonds: 600,000,000,000 notes
Outstanding debt: KZT 29,470.79
Interest rate: 8.00 %
Circulation period: 14.04.07 – 14.04.2026
Coupon payment: April 14 / October 14 (semi-annual)
Trade code: TEBNb15 KASE
Bond Program Second bond program (C33)
State register №: С33-4



Prospectus



Changes in the prospectus

ISIN: KZP05Y20C339 (KZ000A1AT8V6)
Number of registered bonds: 600,000,000,000 notes
Outstanding debt: KZT 4,480,948,955.20
Interest rate: 8.00 %
Circulation period: 14.04.07 – 14.04.2027
Coupon payment: April 14 / October 14 (semi-annual)
Trade code: TEBNb16 KASE
Bond Program Second bond program (C33)
State register №: С33-5



Prospectus



Changes in the prospectus

ISIN: KZP06Y20C337 (KZ2C00000123)
Number of registered bonds: 600,000,000,000 notes
Outstanding debt: KZT 1,165,109,375.00
Interest rate: 8.00 %
Circulation period: 14.04.07 – 14.04.2027
Coupon payment: April 14 / October 14 (semi-annual)
Trade code: TEBNb17 KASE
Bond Program Second bond program (C33)
State register №: С33-6



Prospectus



Changes in the prospectus

ISIN: KZP01Y10F043 (KZ2C00003374)
Number of registered bonds: 50,000,000 notes
Outstanding debt: KZT 49,958,859,000.00
Interest rate: 10.13 %
Circulation period: 27.07.2015 – 27.07.2025
Coupon payment: January 27 / July 27 (semi-annual)
Trade code: ASBNb27 KASE
Bond Program First ForteBank JSC bonded program (F04)
State register №: F04-1



Prospectus

ISIN: KZP02Y10F041 (KZ2C00003473)
Number of registered bonds: 65,000,000 notes
Trade code: ASBNb28 KASE
Bond Program First ForteBank JSC bonded program (F04)
State register №: F04-2



Prospectus

ISIN: KZP03Y05F049 (KZ2C00003556)
Number of registered bonds: 18,000,000 notes
Trade code: ASBNb29 KASE
Bond Program First ForteBank JSC bonded program (F04)
State register №: F04-3



Prospectus

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