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Issuance Calendar of Government Bonds - January 2025

Name of Issue ISIN Issue/Tranche Auction Date Settlement Date Maturity Date Nominal Value
Offered in the
Competitive Part of
Auction
Issuance Calendar of Government Bonds - January 2025
Government Bond of the Czech Republic, 2020–2029, 0.05% CZ0001006076 130/14 15.01.2025 17.01.2025 29.11.2029 5.0 CZK bn
Government Bond of the Czech Republic, 2023–2031, 6.20% CZ0001006969 152/6 15.01.2025 17.01.2025 16.06.2031 4.0 CZK bn
Government Bond of the Czech Republic, 2021–2037, 1.95% CZ0001006316 142/16 15.01.2025 17.01.2025 30.07.2037 2.0 CZK bn
Government Bond of the Czech Republic, 2023–2043, VAR% CZ0001007041 155/15 22.01.2025 24.01.2025 18.08.2043 1.0 CZK bn
Government Bond of the Czech Republic, 2023–2032, 4.50% CZ0001007033 154/19 29.01.2025 31.01.2025 11.11.2032 5.0 CZK bn
Government Bond of the Czech Republic, 2023–2034, 4.90% CZ0001006894 151/21 29.01.2025 31.01.2025 14.04.2034 4.0 CZK bn
Government Bond of the Czech Republic, 2020–2040, 1.50% CZ0001005920 125/33 29.01.2025 31.01.2025 24.04.2040 2.0 CZK bn

In the 1st quarter of 2025, the planned total nominal value of CZK-denominated medium-term and long-term government bonds sold in the auctions is set at the indicative amount up to CZK 85.0 bn.

The Ministry of Finance reserves the right to switch offered government bonds to government bonds with similar maturity on the day of auction announcement at the latest.

Non-competitive part of auction closes the next business day at 12:00 p.m. CET.

Issuance Calendar results from The Czech Republic Funding and Debt Management Strategy for 2025.
Date of publication on 6 January 2025.
The next Issuance Calendar will be published on 27 January 2025.

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