Issuance Calendar of Savings Government Bonds - IV. Quarter 2013
Name of Issue | ISIN Number | Issue Number/Tranche |
Subscription Period *) |
Settlement Date | Maturity Date | Remaining Maturity (Years) |
---|---|---|---|---|---|---|
Premium Savings Government Bond of the Czech Republic, 2013–2016 II, FIX % | CZ0001004170 | 84/1 | 4.11. – 29.11.2013 | 12.12.2013 | 12.12.2016 | 3,0 |
Coupon Savings Government Bond of the Czech Republic, 2013–2018 II, FIX % | CZ0001004188 | 85/1 | 4.11. – 29.11.2013 | 12.12.2013 | 12.12.2018 | 5,0 |
Reinvestment Savings Government Bond of the Czech Republic, 2013–2018 II, FIX % | CZ0001004196 | 86/1 | 4.11. – 29.11.2013 | 12.12.2013 | 12.12.2018 | 5,0 |
Inflation Linked Savings Government Bond of the Czech Republic, 2013–2020 II, CPI % | CZ0001004204 | 87/1 | 4.11. – 29.11.2013 | 12.12.2013 | 12.12.2020 | 7,0 |
*) In accordance with issue terms the issuer reserves the right to terminate the subscription period at an earlier date
Issuance calendar results from The Czech Republic Funding and Debt Management Strategy for 2013 and from the Revision as of 30.6.2013
More information about Retail Savings Bonds available on the website https://www.sporicidluhopisycr.cz
Date of publication: 05.11.2013