· Issuer: Lombard GoldFinMarket LLP
· BIN of the issuer: 230140025888
· Type of financial instrument: BONDS
· ISIN of the financial instrument: KZ2P00019318
· Service start date: 2026-09-28
· Paying agent: Central Securities Depository
2026-09-28 11:00
· Issuer: Lombard GoldFinMarket LLP
· BIN of the issuer: 230140025888
· Type of financial instrument: BONDS
· ISIN of the financial instrument: KZ2P00019318
· Service start date: 2026-09-28
· Paying agent: Central Securities Depository