|Name of issue:||Treasury Bill 13W 26/02|
|Name of issuer:**||Ministry of Finance on behalf of the Czech Republic|
|Address of issuer:||Letenska 15|
|118 10 Prague 1|
|Bond form:||book-entered (CNB)|
|Maturity date:||28. 05.2021|
|Nominal value:||CZK 1 000 000|
|Total nominal value***||CZK 0 to 5 000 000 000|
|Auctioned:***||CZK 0 to 5 000 000 000|
|Auction date:||25. 02. 2021|
|Issue date:||26. 02.2021|
|Deadline for bidding:||12:00|
|Auction type:||Dutch auction|
|Type of bidding:||in percentage, three places of decimals|
|Agent:||Czech National Bank|
* Annoucement is always published on the date of auction at 09:30.
** Treasury bills are issued and sold under the Rules for the Primary Sale of Government Securities Organized by the Czech National Bank.
*** The Ministry of Finance reserves the right to change the total nominal value during the auction.