T-Bonds and T-Bills in Own Portfolio

Department 20 – Management of National Debt and Financial Assets
Department 20 – Management of National Debt and Financial Assets

Published

  • State Debt
  • Secondary Market
  • T-Bonds in Own Portfolio
Updated 31-3-2023

T-bonds in own portfolio
Issue Name ISIN Own Portfolio
Nominal Amount (CZK)1)
Lending Facility
Nominal Amount (CZK)
Received Collateral
Nominal Amount (CZK)
Actual Position of Own Portfolio
Nominal Amount (CZK)
CZGB VAR/23 CZ0001003123 900 000 0003) 0 0 900 000 000
CZGB 0.45/23 CZ0001004600 16 118 680 000 4 600 000 000 0 11 518 680 000
CZGB 0.00/24 II2) CZ0001006480 0 0 0 0
CZGB 5.70/24 CZ0001002547 1 400 000 0004) 0 0 1 400 000 000
CZGB VAR/24 CZ0001006498 2 259 380 000 0 0 2 259 380 000
CZGB 0.00/24 CZ0001006167 10 609 620 000 0 0 10 609 620 000
CZGB 1.25/25 CZ0001005870 1 000 000 000 0 0 1 000 000 000
CZGB 2.40/25 CZ0001004253 1 000 000 000 0 2 558 000 000 3 558 000 000
CZGB 6.00/26 CZ0001006506 1 000 000 000 0 1 884 000 000 2 884 000 000
CZGB 1.00/26 CZ0001004469 1 000 000 000 0 0 1 000 000 000
CZGB 0.25/27 CZ0001005037 1 000 000 000 0 0 1 000 000 000
CZGB 0.00/272) CZ0001006043 0 0 0 0
CZGB VAR/27 CZ0001004105 1 000 000 000 0 0 1 000 000 000
CZGB 2.50/28 CZ0001003859 1 000 000 000 0 0 1 000 000 000
CZGB 5.50/28 CZ0001006696 20 694 340 000 0 0 20 694 340 000
CZGB 2.75/29 CZ0001005375 1 000 000 000 0 0 1 000 000 000
CZGB 0.05/29 CZ0001006076 2 976 980 000 0 0 2 976 980 000
CZGB 0.95/30 CZ0001004477 1 000 000 000 0 0 1 000 000 000
CZGB 5.00/30 CZ0001006688 0 0 0 0
CZGB 1.20/31 CZ0001005888 1 000 000 000 0 0 1 000 000 000
CZGB VAR/31 CZ0001006241 1 000 000 000 0 0 1 000 000 000
CZGB 1.75/32 CZ0001006233 1 000 000 000 0 341 000 000 1 341 000 000
CZGB 2.00/33 CZ0001005243 1 000 000 000 0 0 1 000 000 000
CZGB 3.50/35 CZ0001006431 8 317 900 000 0 0 8 317 900 000
CZGB 4.20/36 CZ0001001796 1 000 000 000 0 0 1 000 000 000
CZGB 1.95/37 CZ0001006316 8 747 220 000 230 000 000 0 8 517 220 000
CZGB 1.50/40 CZ0001005920 5 456 090 000 0 0 5 456 090 000
CZGB 4.85/57 CZ0001002059 580 000 000 0 0 580 000 000

1) Excluding collateral from reverse repo or lending facility operations.

2) The bond is denominated in euro. Nominal values are given in euros.

3) Including the state of the nuclear portfolio in the amount of CZK 900 000 000.

4) Including the state of the nuclear portfolio in the amount of CZK 1 400 000 000.

As of  31.3.2023

T-bills in own portfolio
Issue Name ISIN Own Portfolio
Nominal Amount (CZK)1)
Lending Facility
Nominal Amount (CZK)
Received Collateral
Nominal Amount (CZK)
Actual Position of Own Portfolio
Nominal Amount (CZK)
Treasury Bill 52W 02/12 CZ0001006803 100 000 000 000 0 0 100 000 000 000

1) Excluding collateral from reverse repo or lending facility operations.

As of 31.3.2023