Информация для инвесторов
2026-09-28 15:00:00
State Registration of Bond Issues — 25.09.2026
2026-09-24 11:00:00
State Registration of the 5th Bond Program and 1st Bond Issue dated 23.09.2026
2026-09-04 11:00:00
Board of Directors’ Decision dated 01.09.2026
2026-08-06 10:50:00
Bank CenterCredit Paid Coupon Interest on CCBNb30 Bonds
2026-05-14 13:40:00
Bank CenterCredit Paid Coupon Interest on CCBNb33 Bonds
2026-05-14 13:40:00
Bank CenterCredit Paid Coupon Interest on CCBNpp1 Bonds
2026-04-28 15:00:00
Coupon Interest Payment on ALBNb5 Bonds
2026-02-09 11:10:00
Coupon Interest Payment on CCBNb30 Bonds
2025-12-31 13:10:00
Notification on Redemption of the Fourth Bond Issue under the Third Bond Program of Bank CenterCredit JSC
2025-12-29 10:14:53
CenterCredit Bank Completes Redemption of CCBNb32 Bonds
2025-12-04 16:35:00
Notification on Redemption of CCBNb37 Discount Bonds in the Central Depository System
2025-12-02 15:10:00
Full Redemption of CCBNb37 Bonds at Par Value
2025-11-24 12:55:00
State Registration of Bond Issues of Bank CenterCredit JSC dated 21.11.2025
2025-11-20 10:50:00
Cancellation of the Sixth Issue of CCBNb34 Bonds (November 19, 2025)
2025-11-19 12:35:00
The coupon payment was made on November 19, 2025
2025-11-14 17:15:00
Board of Directors’ Decision dated 14.11.2025
2025-11-12 11:30:00
The coupon payment was made on November 12, 2025
2025-10-29 12:05:00
The coupon payment was made on October 29, 2025
2025-10-07 18:00:00
State Registration of Bank CenterCredit Bond Issue (October 7, 2025)
2025-10-03 11:48:00
Redemption of the First Bond Issue within the Third Program (ISIN KZ2C00003424)
2025-09-29 14:50:00
Redemption of bonds (KZ2C00003424, CCBNb28)
2025-09-17 14:57:00
Bank CenterCredit JSC registered bond issue worth KZT 100 billion — September 16, 2025
2025-09-12 12:50:00
JSC Bank CenterCredit hereby announces the adoption of the following decision by the Board of Directors on 11.09.2025
2025-08-19 16:10:00
Cancellation of the Second Issue of CCBNb29 Bonds (August 19, 2025)