Notification of the Start of Payment Agent Services for Birinshi Lombard (Бірінші Ломбард) LLP

2026-09-24 10:00

· Issuer: Birinshi Lombard (Бірінші Ломбард) LLP

· BIN of the issuer: 190540020930

· Type of financial instrument: BONDS

· ISIN of the financial instrument: KZ2P00019029

· Service start date: 2026-09-24

· Paying agent: Central Securities Depository