CZ EN

Issuance Calendar of Treasury Bills - September 2025

Issue/Tranche Auction Date Settlement Date Maturity Date Maturity (Days) Nominal Value
Offered in the
Auction
Issuance Calendar of Treasury Bills - September 2025
T-BILL 929/3 04.09.2025 05.09.2025 17.07.2026 315 5.0 CZK bn
T-BILL 931/1 10.09.2025 12.09.2025 13.03.2026 182 500.0 EUR mil
T-BILL 930/2 25.09.2025 26.09.2025 14.11.2025 49 5.0 CZK bn

In the third 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.

Issuance Calendar results from The Czech Republic Funding and Debt Management Strategy for 2025 and its update.
Date of publication on 25 August 2025.
The next Issuance Calendar will be published on 22 September 2025.

Show form

Contact form

Do not fill this field!!!

This site is protected by reCAPTCHA and the Google Privacy Policy and Terms of Service apply.

Show form

Contact form

Do not fill this field!!!

This site is protected by reCAPTCHA and the Google Privacy Policy and Terms of Service apply.