Announcement of the Ministry of Finance on Treasury Bonds Auction (2nd Tranche of 90th Issue)
Name of issue: | Treasury Bond of the Czech Republic, 2014–2027, VAR % |
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ISIN: | CZ0001004105 |
Name of issuer: | Czech Republic - Ministry of Finance |
Address of issuer: | Letenska 15, 118 10 Prague 1 |
Form of bond: | book-entered security on bearer |
Maturity date: | 19 November 2027 |
Coupon: | VAR % |
Accrued interest: | CZK 1.98 |
Nominal value: | CZK 10 000 |
Total nominal value offered in the competitive part of the auction:** |
CZK 2.0 to 5.0 bn |
Maximum acceptable yield of bond: | not fixed |
Auction date: | 4 June 2014 |
Deadline for bidding: | competitive - 4 June 2014 until 12:00 |
non-competitive - 5 June 2014 until 12:00 | |
Settlement date: | 9 June 2014 |
Auction type: | multiple price (American style) |
Type of bidding: | at price including two places of decimals |
Administrator: | Czech National Bank |
*) Announcement is always published on Thursday at 14:00, 6 days before an auction
**) The Ministry of Finance reserves the right to change the total nominal value during the auction