Friday, August 14, 2020 06:0027

Payment periodicity of financial instrument

 
Payment period
from
to
[1–18]
Identification number of financial instrument Fixing date of register Payment date Value
KZKD00001079 2037-02-11 2037-02-11 8.70
KZKD00001079 2036-02-11 2036-02-11 8.70
KZKD00001079 2035-02-12 2035-02-12 8.70
KZKD00001079 2034-02-13 2034-02-13 8.70
KZKD00001079 2033-02-11 2033-02-11 8.70
KZKD00001079 2032-02-11 2032-02-11 8.70
KZKD00001079 2031-02-11 2031-02-11 8.70
KZKD00001079 2030-02-11 2030-02-11 8.70
KZKD00001079 2029-02-12 2029-02-12 8.70
KZKD00001079 2028-02-11 2028-02-11 8.70
KZKD00001079 2027-02-11 2027-02-11 8.70
KZKD00001079 2026-02-11 2026-02-11 8.70
KZKD00001079 2025-02-11 2025-02-11 8.70
KZKD00001079 2024-02-12 2024-02-12 8.70
KZKD00001079 2023-02-13 2023-02-13 8.70
KZKD00001079 2022-02-11 2022-02-11 8.70
KZKD00001079 2021-02-11 2021-02-11 8.70
KZKD00001079 2020-02-11 2020-02-11 8.70
[1–18]

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