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Treasury Securities by Maturity - July 2022

 

Maturity Date Description ISIN Issue Date Coupon % Total nominal value sold
12.08.2022 T-bill CZ0001006654 15.07.2022   10 097 000 000
26.08.2022 T-bill CZ0001006670 29.07.2022   13 155 000 000
12.09.2022 T-bonds 52nd issue CZ0001001945 18.06.2007 4,70 70 516 270 000
07.10.2022 T-bill CZ0001006647 08.07.2022   12 136 000 000
21.10.2022 T-bill CZ0001006662 22.07.2022   13 565 000 000
2022 Total       119 469 270 000
18.04.2023 T-bonds 63rd issue CZ0001003123 18.04.2011 VAR 6,42 88 309 000 000
25.10.2023 T-bonds 97th issue CZ0001004600 25.09.2015 0,45 120 000 000 000
2023 Total       208 309 000 000
24.04.2024 EUR T-bonds 146th issue1) CZ0001006480 22.04.2022 0,00 24 610 000 000
25.05.2024 T-bonds 58th issue CZ0001002547 25.05.2009 5,70 88 600 000 000
22.10.2024 T-bonds 147th issue CZ0001006498 22.04.2022 VAR 5,61 27 740 620 000
12.12.2024 T-bonds 135th issue CZ0001006167 12.02.2021 0,00 38 965 380 000
2024 Total       179 916 000 000
01.02.2025 Reinvestment government bond 106th issue CZ0001005623 01.02.2019 2,00 2 885 901 830
14.02.2025 T-bonds 120th issue CZ0001005870 14.02.2020 1,25 119 000 000 000
01.04.2025 Reinvestment government bond 107th issue CZ0001005631 01.04.2019 2,00 888 193 194
01.07.2025 Reinvestment government bond 108th issue CZ0001005649 01.07.2019 2,00 365 371 184
01.07.2025 Index-linked government bond 110th issue CZ0001005714 01.07.2019 CPI + 0,50 5 692 187 282
17.09.2025 T-bonds 89th issue CZ0001004253 17.03.2014 2,40 129 180 000 000
01.10.2025 Reinvestment government bond 111th issue CZ0001005730 01.10.2019 1,25 56 663 116
01.10.2025 Index-linked government bond 112th issue CZ0001005722 01.10.2019 CPI + 0,50 1 155 284 774
01.10.2025 Fixed government bond 113th issue CZ0001005748 01.10.2019 1,50 21 540 622
2025 Total       259 245 142 002
02.01.2026 Reinvestment government bond 114th issue CZ0001005763 02.01.2020 1,25 50 966 758
02.01.2026 Index-linked government bond 115th issue CZ0001005771 02.01.2020 CPI + 0,50 1 688 779 893
02.01.2026 Fixed government bond 116th issue CZ0001005789 02.01.2020 1,25 16 050 938
26.02.2026 T-bonds 148th issue CZ0001006506 22.04.2022 6,00 84 615 400 000
01.04.2026 Reinvestment government bond 117th issue CZ0001005813 01.04.2020 1,25 45 422 975
01.04.2026 Index-linked government bond 118th issue CZ0001005821 01.04.2020 CPI + 0,50 2 203 957 632
01.04.2026 Fixed government bond 119th issue CZ0001005805 01.04.2020 1,50 18 559 115
26.06.2026 T-bonds 95th issue CZ0001004469 26.06.2015 1,00 149 000 000 000
01.07.2026 Reinvestment government bond 122nd issue CZ0001005896 01.07.2020 1,25 111 211 295
01.07.2026 Index-linked government bond 123rd issue CZ0001005904 01.07.2020 CPI + 0,50 2 254 854 796
01.07.2026 Fixed government bond 124th issue CZ0001005912 01.07.2020 1,30 59 949 387
01.10.2026 Reinvestment government bond 127th issue CZ0001006019 01.10.2020 0,75 51 117 874
01.10.2026 Index-linked government bond 128th issue CZ0001006001 01.10.2020 CPI + 0,50 4 007 986 832
31.12.2026 Reinvestment government bond 131st issue CZ0001006092 31.12.2020 0,75 46 391 887
31.12.2026 Index-linked government bond 132nd issue CZ0001006100 31.12.2020 CPI + 0,50 5 153 651 333
2026 Total       249 324 300 715
10.02.2027 T-bonds 100th issue CZ0001005037 10.02.2017 0,25 124 000 000 000
01.04.2027 Reinvestment government bond 133rd issue CZ0001006134 01.04.2021 0,75 37 144 550
01.04.2027 Index-linked government bond 134th issue CZ0001006142 01.04.2021 CPI 3 474 048 682
01.07.2027 Reinvestment government bond 136th issue CZ0001006209 01.07.2021 0,75 58 419 996
01.07.2027 Index-linked government bond 137th issue CZ0001006217 01.07.2021 CPI 4 853 640 930
27.07.2027 EUR T-bonds 129th issue1) CZ0001006043 17.07.2020 0,00 12 305 000 000
01.10.2027 Reinvestment government bond 140th issue CZ0001006282 01.10.2021 0,50 66 126 847
01.10.2027 Index-linked government bond 141st issue CZ0001006290 01.10.2021 CPI 5 391 281 048
19.11.2027 T-bonds 90th issue CZ0001004105 19.05.2014 VAR 6,12 119 000 000 000
2027 Total       269 185 662 053
03.01.2028 Reinvestment government bond 143rd issue CZ0001006324 03.01.2022 1,00 112 546 379
03.01.2028 Index-linked government bond 144th issue CZ0001006332 03.01.2022 CPI 41 018 523 912
25.08.2028 T-bonds 78th issue CZ0001003859 25.02.2013 2,50 149 000 000 000
2028 Total       190 131 070 291
23.07.2029 T-bonds 105th issue CZ0001005375 23.02.2018 2,75 147 604 430 000
29.11.2029 T-bonds 130th issue CZ0001006076 28.08.2020 0,05 80 471 600 000
2029 Total       228 076 030 000
15.05.2030 T-bonds 94th issue CZ0001004477 15.05.2015 0,95 148 385 240 000
2030 Total       148 385 240 000
13.03.2031 T-bonds 121st issue CZ0001005888 13.03.2020 1,20 148 209 830 000
31.10.2031 T-bonds 139th issue CZ0001006241 30.04.2021 VAR 5,66 76 944 480 000
2031 Total       225 154 310 000
23.06.2032 T-bonds 138th issue CZ0001006233 23.04.2021 1,75 114 987 340 000
2032 Total       114 987 340 000
13.10.2033 T-bonds 103rd issue CZ0001005243 13.10.2017 2,00 148 905 230 000
2033 Total       148 905 230 000
30.05.2035 T-bonds 145th issue CZ0001006431 25.02.2022 3,50 37 762 940 000
2035 Total       37 762 940 000
16.01.2036 1st issue of JPY-denominated bonds1) XS0240954361 16.01.2006 2,75 5 412 000 000
04.12.2036 T-bonds 49th issue CZ0001001796 04.12.2006 4,20 79 000 000 000
2036 Total       84 412 000 000
30.07.2037 T-bonds 142nd issue CZ0001006316 27.08.2021 1,95 14 515 500 000
2037 Total       14 515 500 000
24.04.2040 T-bonds 125th issue CZ0001005920 24.04.2020 1,50 55 939 200 000
2040 Total       55 939 200 000
26.11.2057 T-bonds 53rd issue CZ0001002059 26.11.2007 4,85 21 420 000 000
2057 Total       21 420 000 000
As of July 31, 2022

1) Issues of T-Bonds denominated in foreign currency are stated in CZK equivalent.

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