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Announcement of the Ministry of Finance on Treasury Bonds Auction (2nd Tranche of 63rd Issue)

Announcement of the Ministry of Finance on Treasury Bonds Auction (2nd Tranche of 63rd Issue)
Name of issue: Treasury Bond of the Czech Republic, 2011-2023, VAR %*
ISIN: CZ0001003123
Name of issuer: Ministry of Finance on behalf of the Czech Republic
Address of issuer: Letenska 15, 118 10 Prague 1
Bond type: bearer
Bond form: book-entered
Maturity date: 18 April 2023
Coupon (annual): VAR % **
Accrued interest: CZK 67.51
Nominal value: CZK 10 000
Volume:*** CZK 8 000 000 000
Maximum acceptable yield of bond: not fixed
Auction date: 20 July 2011
Deadline for bidding: competitive        - 20 July 2011 until 12:00
  non-competitive - 20 July 2011 until 14:45****
Settlement date: 25 July 2011
Auction type: multiple price (American style)
Type of bidding: at price including two places of decimals
Administrator: Czech National Bank

*)    Announcement is always published on Thursday at 14:00, 6 days before an auction 
**) The interest rate for one yield period is 12M PRIBOR increased by spread of 65 basis points. The interest rate for the first yield period will be fixed on the day of auction
***) Ministry of Finance reserves the right to change the volume during the auction
****) May be extended during the auction upon the decision by the Czech National Bank

List of direct participants on T- bond auctions

Issue conditions of 63rd issue

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