Quarterly report pursuant to Section 13 or 15(d)

LOAN ISSUED (Tables)

v3.23.1
LOAN ISSUED (Tables)
3 Months Ended 6 Months Ended
Sep. 30, 2022
Sep. 30, 2022
Loans and Leases Receivable Disclosure [Abstract]    
Schedule of loans issued
Loans issued as of September 30, 2022, consisted of the following:
Amount Outstanding Due Dates
Average Interest Rate
Fair Value of Collateral Loan Currency
Mortgage loans $ 249,133  October, 2022 - September, 2047 9.16  % $ 250,228  KZT
Uncollateralized bank customer loans 83,475  October, 2022 - September, 2042 18.85  % KZT
Car loans 11,531  October, 2022 - October, 2029 26.76  % 11,738 KZT
Collateralized Bank customer loans 6,840  May, 2023 - September, 2023 1.55  % 6,840 KZT
Subordinated loans 5,122  December, 2022-April, 2024 4.89  % —  USD
Subordinated loans 1,013  September, 2029 12.00  % —  UAH
Loans issued to policyholders 103  November, 2022 - June, 2023 14.55  % 180 KZT
Other 140  May, 2022 - May, 2027 2.00  % EUR
Total loans issued $ 357,357 
Loans issued as of March 31, 2022, consisted of the following:
Amount Outstanding Due Dates
Average Interest Rate
Fair Value of Collateral Loan Currency
Mortgage loans $ 51,924  April 2022 - March 2047 11.86  % 52,134 KZT
Uncollateralized bank customer loans 34,067  April 2022 - March 2047 17.56  % KZT
Subordinated loan 5,033  December 2022-April 2024 4.89  % USD
Subordinated loan 1,256  December 2022-April 2024 7.00  % UAH
Other 123  February 2022-Febraury 2027 2.50  % USD
Loans to policyholders 43  July 2022 - March 2023 12.02  % 284 KZT
Total loans issued (recasted) $ 92,446