News

12.10.2021
Bonds of Fincraft Group LLP transferred from "bonds" category of alternative market to "bonds" category of KASE official list's main market
The Listing Commission of Kazakhstan Stock Exchange (KASE) on October 11, 2021 made a decision to transfer the bonds of Fincraft Group LLP (Almaty) from the "bonds" category of the alternative market to the "bonds" category of KASE official list's main market
20.09.2021
"Fincraft Group" credit rating was raised to "BB-" and "kzA-"
On 17th of September 2021 S&P Global Ratings raised Fincraft Group's long-term issuer credit rating from «B+» to «BB-». The outlook is "Stable". Short-term issuer credit rating on Fincraft Group was affirmed at level "B" At the same time S&P Global Ratings raised Kazakhstan national scale rating on Fincraft Group to "kzA-" from "kzBBB".
06.09.2021
On payments of the fourth coupon for (KZ2P00006190, ncomb2)
Fincraft Group LLC informs that on the 6th of September it made the payment for its fourth coupon fee of KZ2P00006190 bond (alternative platform KASE, bond category, NCOMb1) with the sum of 1 140 911 265,00 tenge.
30.04.2021
Notice of the General Meeting of Holders of Coupon Bonds of Fincraft Group LLP
Fincraft Group LLP, BIN 140540017565, location: Republic of Kazakhstan, 050040, Almaty city, Bostandyk district, Al-Farabi avenue, 77/2, apt. 53, notifies of the General Meeting of Coupon Bond Holders (ISIN KZ2P00006190, ticker: NCOMb2) of Fincraft Group LLP (hereinafter - the Meeting), at which it is planned to consider an issue affecting the interests of bondholders.
23.04.2021
"Notice on advance redemption"
Fincraft Group LLP (hereinafter referred to as the Partnership) informs that on April 21, 2021, in accordance with the Decision No. 2021-19 of the sole partner of the Partnership dated April 21, 2021, the bonds of the Partnership were redeemed.
08.01.2021
"NOTICE ABOUT THE PARTNERSHIP BONDS BUYBACK"
Fincraft Group LLP (hereinafter referred to as the Partnership) informs that on January 5, 2021, in accordance with the Decision of the sole proprietor of the Partnership No. 2020-133 of December 31, 2020, payment of the Partnership's bonds was carried out according to the following parameters: 1. Coupon bonds (ISIN KZ2D00005949) in the amount of 36 080 240 (Thirty-six million eighty thousand two hundred forty) bonds at nominal value with accumulated interest in the amount of 36 164 427 226,67 (Thirty-six billion one hundred sixty four million four hundred twenty-seven thousand two hundred twenty six) tenge tiyn 67; 2. Coupon bonds (ISIN KZ2P00006190) in the amount of 25,000,000 (Twenty-five million) pieces at nominal face value, with consideration of the accumulated interest in the amount of 26,137,500,000.00 (Twenty-six billion one hundred and thirty-seven million five hundred and thousand) tenge.