On the Payment of Nominal Value upon Redemption of the Bonds of МФО аФинанс LLP

2026-09-30 14:00

· Issuer: МФО аФинанс LLP

· Type of bonds for which the nominal value was paid: CORPORATE (DEBT)

· ISIN of the bonds: KZ2P00015589

· Payment currency: KZT

· Nominal value per bond, KZT: 1000.00

· Actual nominal value payment date: 2026-09-30

· Paying agent: Central Securities Depository