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Základní informace o Ministerstvu financí v českém znakovém jazyce.

Issuance Calendar of Treasury Bills - November 2025

Issue/Tranche Auction Date Settlement Date Maturity Date Maturity (Days) Nominal Value
Offered in the
Auction
Issuance Calendar of Treasury Bills - November 2025
T-BILL 933/1 05.11.2025 07.11.2025 05.06.2026 210 500.0 EUR mil
T-BILL 932/3 13.11.2025 14.11.2025 16.10.2026 336 5.0 CZK bn
T-BILL 929/4 20.11.2025 21.11.2025 17.07.2026 238 5.0 CZK bn
T-BILL 932/4 27.11.2025 28.11.2025 16.10.2026 322 5.0 CZK bn

In the fourth quarter of 2025, the planned total nominal value of CZK-denominated T-Bills excl. roll-over within the respective year is set at the indicative amount up to CZK 50.0 bn.

On 28 November 2025, a technical issue of a T-BILL 934 with a time to maturity up to one year in a expected total nominal value of CZK 100 billion will be carried out for the purpose of repo operations, which will be registered on the asset account maintained by the Ministry of Finance in the respective record according to Section 15 (4) of the Act No. 190/2004 Coll., on Bonds, as amended. Announcement of technical issue will be published at the latest on the issue date.

Issuance Calendar results from The Czech Republic Funding and Debt Management Strategy for 2025 and its update.
Date of publication on 27 October 2025.
The next Issuance Calendar will be published on 24 November 2025.

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