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Tashkent Stock Exchange (UZSE) and the depository register

Payout calendar

Bond coupon dates, maturities and dividend payments for Uzbek issuers, one month at a time. Announced payments come from the UZCSD register; coupon dates and amounts for listed bonds are estimated from each bond's published terms and say so.

39 payouts · 39 announced · 0 estimated · as of Sep 26, 2026

Mon
Tue
Wed
Thu
Fri
Sat
Sun
1
    2
      3
      • UZA000006272 Dividend
      4
      • UZA000006272 Dividend
      5
        6
          7
          • UZ0000000425 Dividend
          • UZ0000000433 Dividend
          • UZ0000000J28 Dividend
          • UZ0000000JJ3 Dividend
          • +5 more
          8
          • UZA000002651 Dividend
          9
            10
            • UZA000006272 Dividend
            • UZ0000000J28 Dividend
            • UZ0000000JJ3 Dividend
            11
            • UZA000006215 Dividend
            12
              13
                14
                • UZA000006272 Dividend
                • UZA000006272 Dividend
                • UZA000006215 Dividend
                • UZA000006215 Dividend
                • +4 more
                15
                • UZA000006272 Dividend
                • UZ0000000839 Dividend
                16
                • UZA000006272 Dividend
                • UZA000006272 Dividend
                17
                • UZA000006272 Dividend
                18
                • UZ00000000Z9 Dividend
                19
                  20
                    21
                    • UZA000006272 Dividend
                    • UZA000006272 Dividend
                    • UZA000006272 Dividend
                    22
                    • UZA000006272 Dividend
                    • UZ0000000MR0 Dividend
                    • UZ0000000MR0 Dividend
                    • UZ00000007S9 Dividend
                    • +1 more
                    23
                      24
                        25
                        • UZA000006272 Dividend
                        26
                          27
                            28
                              29
                                30

                                  Estimated coupons: the date is stepped from the bond's issue date by its published coupon cycle, and the amount is face value x rate / coupons per year (equal coupons). The issuer's own day count may differ slightly.

                                  Not shown because the sources do not publish them: dividend record and ex dates, amortisation schedules, public holidays (weekend dates are moved to the following Monday only) and the future CBU rate behind a formula coupon.

                                  Sources: uzcsd.uz Sign in for your own payouts with the expected cash and reminders.