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IPO

Trade Reports

Index

48882.08

( -122.55 -0.25% )
Index Unit Change
Top 20 Index 48882.08 -122.55
MSE A Index 17968.64 -210.93
MSE B Index 14298.95 -73.09

News

AUGUST 15 TRADING REPORT

2025-08-15 18:54:59

Total trade: MNT 13,151,542,702 (USD 3,659,875.41)

PRIMARY MARKET TRADING OF MONGOLIAN GOVERNMENT SECURITIES TO BE HELD ON AUGUST 20, 2025

2025-08-15 15:37:44

In total, MNT 8.0 billion will be raised. Investors can participate in the primary and secondary market trading through their respective licensed securities companies.

AUGUST 14 TRADING REPORT

2025-08-14 16:35:21

Total trade: MNT 50,096,414,035.2 (USD 13947556.22)

News

"LENDMN ACTIVE SPE" JSC'S ASSET-BACKED SECURITIES HAS STARTED ITS PRIMARY MARKET TRADING

2022-10-20 12:45:13

The opening ceremony of "LendMN Active SPE" JSC's Asset-Backed Security's primary market trading took place on 20th of October, 2022.

OCTOBER 19, 2022 TRADING REPORT

2022-10-19 13:37:47

On October 19, 2022, a total of 514,256 securities worth MNT 1,131,514,556 were traded

OCTOBER 18, 2022 TRADING REPORT

2022-10-18 15:41:47

On October 18, 2022, a total of 705,543 securities worth MNT 201,608,285 were traded

THE SECONDARY MARKET TRADING OF "NUMUR CREDIT ASSET S.P.E" LLC’S ABS STARTED TODAY

2022-10-18 09:19:36

Asset backed securities of "Numur Credit Asset S.P.E" LLC will be traded in the secondary market under the letter code "NUMR-BD-18/10/24-C0034-17.5".

OCTOBER 17, 2022 TRADING REPORT

2022-10-17 15:03:42

On October 17, 2022, a total of 1,018,890 securities worth MNT 565,476,855 were traded

WEEKLY TRADING REPORT

2022-10-17 14:46:20

During the week of October 10, 2022, to October 14, 2022, a total of MNT 35,582,731,198.51 worth of securities were traded through 5 trading sessions on the MSE.

OCTOBER 14, 2022 TRADING REPORT

2022-10-14 14:41:19

On October 14, 2022, a total of 968,874 securities worth MNT 851,201,647 were traded

PRIMARY MARKET TRADING OF NUMUR CREDIT ASSET BACKED SECURITIES SUCCESSFULLY CLOSED

2022-10-13 21:32:58

100% of the orders were fulfilled according to the distribution plan submitted by the issuer