The Central Depository notifies of the upcoming corporate action:
Payment period: 19.07.2026 - 31.07.2026
Type of corporate action: Payment of nominal value at redemption
Type of financial instrument: BONDS
ISIN of the financial instrument: KZ2P00010788
Legal form and name of the issuer: «MFO «TAS FINANCE GROUP» (ТАС ФИНАНС ГРУПП) LLP