Upcoming Payment of Nominal Value upon Redemption of the Bonds of Lombard GoldFinMarket LLP

2026-09-24 05:00

· Issuer: Lombard GoldFinMarket LLP

· Type of bonds for which the nominal value is payable: CORPORATE (DEBT)

· ISIN of the bonds: KZ2P00014251

· Nominal value payment currency: KZT

· Nominal value per bond: KZT1000.00

· Nominal value payment period starts on: 2026-09-25

· Nominal value payment period ends on: 2026-10-09

· Paying agent: Central Securities Depository