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Қазақстан қор биржасы
Казахстанская фондовая биржа
Kazakhstan Stock Exchange
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TPIB
TPIB
2 740,00
240,00
9,60%
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Registration
ordinary
Share
KZ1C00007665
Tengri Partners Investment Banking (Kazakhstan) JSC
Trades
Characteristics of the securities
Prospectuses
News
Trades
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Summary data
T0: Stocks and DRs
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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
–
Characteristics of the securities
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)
Dividends:
payment history
Number of shares outstanding:
2 451 604
Issue currency:
KZT
Face value:
1 000,00
Dividend payment period:
not determined
News
Highlighted news contain information on the company ratings
04.11.24 15:09
Extraordinary general meeting of Tengri Partners Investment Banking (Kazakhstan) shareholders will be held on December 4
31.10.24 17:56
As of October 31 international bonds US91282CKU44 (US142_3105) and US91282CKQ32 (US143_3405) of U.S. Department of Treasury included in "Government securities" sector of KASE official list
30.10.24 17:27
Extract from Leasing Group's shareholder registers as of October 1, 2024 provided
16.10.24 09:23
Extract from Tengri Partners Investment Banking (Kazakhstan)'s shareholder registers as of October 1, 2024 provided
14.10.24 14:27
Board of Directors of Tengri Partners Investment Banking (Kazakhstan) makes decision on issue of authorized 259,800 common shares KZ1C00007665 (TPIB)
09.10.24 09:45
Since October 9, international bonds US298785JW79 (EIB_e3) of European Investment Bank and US045167GD94 (ASDBe18) of Asian Development Bank included in "Securities of international financial organizations" sector of KASE official list
07.10.24 17:40
Leasing Group on October 7 raised $1.1 mln on KASE by placing bonds KZ2C00012185 (LZGRb8) at 9.99 % APR
07.10.24 09:00
Special trading session for offering of 5,000 bonds KZ2C00012185 (LZGRb8) of Leasing Group is held on KASE today
04.10.24 11:00
Special trading session for offering of 5,000 bonds KZ2C00012185 (LZGRb8) of Leasing Group postponed from October 4 to October 7
02.10.24 15:00
Special trading session for offering of 5,000 bonds KZ2C00012185 (LZGRb8) of Leasing Group will be held on KASE on October 4
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
15.06.21
–
01.01.20 – 31.12.20
–
не выплачивались
–
2
27.05.22
–
01.01.21 – 31.12.21
–
не выплачивались
–
3
30.05.24
–
01.01.22 – 31.12.22
10.037
не выплачивались
04.06.24
4
11.12.23
08.12.23
01.07.23 – 30.09.23
68.76
не выплачивались
12.12.23
5
30.05.24
–
01.07.23 – 30.09.23
10.3139
не выплачивались
04.06.24
6
16.07.24
–
01.01.23 – 31.12.23
38.0
93 166 138,57
19.07.24
×
Недостаточно данных для построения графика.
Подробности смотрите в таблице.