|Name of Issue||ISIN Number||Issue/Tranche||Auction Date*||Settlement Date||Maturity Date||Original Maturity
Offered in the
Competitive Part of
|Government Bond of the Czech Republic, 2014–2027, VAR%||CZ0001004105||90/23||14.4.2021||16.4.2021||19.11.2027||13.5||Max. 6.0 CZK bn|
|Government Bond of the Czech Republic, 2020–2031, 1.20%||CZ0001005888||121/12||14.4.2021||16.4.2021||13.3.2031||11.0||Max. 6.0 CZK bn|
|Czech Republic Treasury Bond, 2006–2036, 4.20%||CZ0001001796||49/21||14.4.2021||16.4.2021||4.12.2036||30.0||Max. 2.0 CZK bn|
|Government Bond of the Czech Republic, 2021–2024, 0.00%||CZ0001006167||135/4||21.4.2021||23.4.2021||12.12.2024||3.8||Max. 6.0 CZK bn|
|Government Bond of the Czech Republic, 2021–2032, 1.75%***||CZ0001006233||138/1||21.4.2021||23.4.2021||23.6.2032||11.2||Max. 6.0 CZK bn|
|Czech Republic Government Bond, 2013–2028, 2.50%||CZ0001003859||78/29||28.4.2021||30.4.2021||25.8.2028||15.5||Max. 5.0 CZK bn|
|Government Bond of the Czech Republic, 2021–2031, VAR%***||CZ0001006241||139/1||28.4.2021||30.4.2021||31.10.2031||10.5||Max. 5.0 CZK bn|
|Government Bond of the Czech Republic, 2017–2033, 2.00%||CZ0001005243||103/30||28.4.2021||30.4.2021||13.10.2033||16.0||Max. 3.0 CZK bn|
* Non-competitive part of auction closes next day at 12:00 p.m. CET.
** In 2nd quarter 2021, the planned total nominal value of government bonds sold in the auctions is set at the maximal indicative amount of CZK 150.0 bn.
*** The auction limit set by an Article IX of Rules for the Primary Sale of Government Securities Organised by the Czech National Bank is cancelled for this auction based on the right of the issuer.
Note: The Ministry reserves the right to switch offered government bonds to government bonds with similar maturity on the day of auction announcement at the latest.
Issuance Calendar results from The Czech Republic Funding and Debt Management Strategy for 2021.
Date of publication: 22. 3. 2021
Next Issuance Calendar will be published 26. 4. 2021