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Treasury Securities by Maturity - July 2016

Maturity Date Description ISIN Issue Date Coupon % Total nominal value sold
5.08.2016 T-bill CZ0001004576 7.08.2015   5 707 000 000
12.08.2016 T-bill CZ0001004774 12.02.2016   1 500 000 000
19.08.2016 T-bill CZ0001004584 21.08.2015   6 705 000 000
26.08.2016 T-bill CZ0001004790 26.02.2016   1 500 000 000
2.09.2016 T-bill CZ0001004618 4.09.2015   8 520 000 000
30.09.2016 T-bill CZ0001004659 2.10.2015   11 500 000 000
30.09.2016 T-bill CZ0001004840 22.04.2016   510 000 000
30.09.2016 T-bill CZ0001004865 6.05.2016   1 025 000 000
30.09.2016 T-bill CZ0001004881 20.05.2016   20 000 000
27.10.2016 T-bonds 55. issue CZ0001002331 27.10.2008 VAR 0,36 69 420 000 000
4.11.2016 T-bill CZ0001004766 5.02.2016   2 000 000 000
11.11.2016 Coupon savings government bond 65. issue CZ0001003305 11.11.2011 6,00 1 924 145 835
11.11.2016 Reinvestment savings government bond 66. issue CZ0001003297 11.11.2011 6,00 9 668 729 747
18.11.2016 T-bill CZ0001004782 19.02.2016   4 000 000 000
23.11.2016 1. issue of CHF-denominated bonds CH0106812362 23.11.2009 2,875 12 490 000 000
12.12.2016 Premium savings government bond 84. issue CZ0001004170 12.12.2013 6,00 11 029 236 195
16.12.2016 T-bill CZ0001004832 15.04.2016   2 600 000 000
30.12.2016 T-bill CZ0001004857 29.04.2016   2 080 000 000
30.12.2016 T-bill CZ0001004873 13.05.2016   2 000 000 000
30.12.2016 T-bill CZ0001004899 27.05.2016   2 010 000 000
30.12.2016 T-bill CZ0001004915 17.06.2016   15 000 000
2016 Total       156 224 111 777
27.01.2017 T-bill CZ0001004758 29.01.2016   3 000 000 000
11.04.2017 T-bonds 51. issue CZ0001001903 30.04.2007 4,00 90 400 000 000
12.06.2017 Coupon savings government bond 68. issue CZ0001003560 12.06.2012 6,00 1 126 469 732
12.06.2017 Reinvestment savings government bond 69. issue CZ0001003578 12.06.2012 6,00 5 865 120 557
23.07.2017 T-bonds 67. issue CZ0001003438 23.01.2012 VAR 1,21 48 070 000 000
9.11.2017 T-bonds 96. issue CZ0001004592 11.09.2015 0,00 70 000 000 000
12.12.2017 Coupon savings government bond 74. issue CZ0001003784 12.12.2012 4,50 1 762 037 241
12.12.2017 Reinvestment savings government bond 75. issue CZ0001003792 12.12.2012 4,50 7 731 322 496
2017 Total       227 954 950 026
22.01.2018 T-bonds 99. issue CZ0001004709 22.01.2016 0,00 40 799 050 000
17.03.2018 T-bonds 88. issue CZ0001004246 17.03.2014 0,85 47 236 220 000
11.06.2018 3. issue of EUR-denominated bonds XS0368800073 11.06.2008 5,00 54 060 000 000
12.06.2018 Coupon savings government bond 81. issue CZ0001004014 12.06.2013 4,00 817 146 434
12.06.2018 Reinvestment savings government bond 82. issue CZ0001004006 12.06.2013 4,00 5 940 875 968
18.08.2018 T-bonds 41. issue CZ0001000822 18.08.2003 4,60 74 000 000 000
12.12.2018 Coupon savings government bond 85. issue CZ0001004188 12.12.2013 3,00 1 355 641 518
12.12.2018 Reinvestment savings government bond 86. issue CZ0001004196 12.12.2013 3,00 7 610 763 848
2018 Total       231 819 697 768
11.04.2019 T-bonds 56. issue CZ0001002471 23.03.2009 5,00 86 960 000 000
12.06.2019 Index-linked savings government bond 70. issue CZ0001003586 12.06.2012 CPI 1 878 722 932
12.06.2019 Reinvestment savings government bond 92. issue CZ0001004303 12.06.2014 0,50 737 224 214
17.07.2019 T-bonds 98. issue CZ0001004717 15.01.2016 0,00 10 875 670 000
29.10.2019 T-bonds 76. issue CZ0001003834 14.01.2013 1,50 76 631 370 000
2019 Total       177 082 987 146
18.03.2020 2. issue of EUR-denominated bonds XS0215153296 18.03.2005 4,125 27 030 000 000
12.06.2020 Index-linked savings government bond 83. issue CZ0001003990 12.06.2013 CPI + 0,50 380 954 916
12.09.2020 T-bonds 46. issue CZ0001001317 12.09.2005 3,75 74 402 040 000
9.12.2020 T-bonds 91. issue CZ0001004113 9.06.2014 VAR 0,06 32 198 770 000
12.12.2020 Index-linked savings government bond 87. issue CZ0001004204 12.12.2013 CPI + 0,50 2 027 425 903
12.12.2020 Variable savings government bond 93. issue CZ0001004311 12.06.2014 VAR 0,26 31 191 539
2020 Total       136 070 382 358
14.04.2021 5. issue of EUR-denominated bonds XS0541140793 14.09.2010 3,625 51 580 000 000
29.09.2021 T-bonds 61. issue CZ0001002851 29.11.2010 3,85 75 635 000 000
2021 Total       127 215 000 000
24.05.2022 6. issue of EUR-denominated bonds XS0750894577 24.02.2012 3,875 74 332 500 000
12.09.2022 T-bonds 52. issue CZ0001001945 18.06.2007 4,70 75 116 740 000
2022 Total       149 449 240 000
18.04.2023 T-bonds 63. issue CZ0001003123 18.04.2011 VAR 1,10 81 207 870 000
25.10.2023 T-bonds 97. issue CZ0001004600 25.09.2015 0,45 12 904 360 000
2023 Total       94 112 230 000
25.05.2024 T-bonds 58. issue CZ0001002547 25.05.2009 5,70 87 600 000 000
2024 Total       87 600 000 000
17.09.2025 T-bonds 89. issue CZ0001004253 17.03.2014 2,40 46 043 390 000
2025 Total       46 043 390 000
26.06.2026 T-bonds 95. issue CZ0001004469 26.06.2015 1,00 19 305 110 000
2026 Total       19 305 110 000
19.11.2027 T-bonds 90. issue CZ0001004105 19.05.2014 VAR 0,26 40 729 550 000
2027 Total       40 729 550 000
25.08.2028 T-bonds 78. issue CZ0001003859 25.02.2013 2,50 56 389 640 000
2028 Total       56 389 640 000
15.05.2030 T-bonds 94. issue CZ0001004477 15.05.2015 0,95 20 028 580 000
2030 Total       20 028 580 000
16.01.2036 1. issue of JPY-denominated bonds XS0240954361 16.01.2006 2,75 7 059 900 000
4.12.2036 T-bonds 49. issue CZ0001001796 4.12.2006 4,20 28 428 970 000
2036 Total       35 488 870 000
26.11.2057 T-bonds 53. issue CZ0001002059 26.11.2007 4,85 11 020 000 000
2057 Total       11 020 000 000
Maturity Schedules of Government Securities - As of July 31, 2016
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