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Results of T-Bonds Auctions - 2019

Official Name Issue and
Tranche Number
ISIN Number Settlement Date Maturity Date Total Nominal Value Sold (CZK) Original Maturity (years) Average Yield (%) /
Discount margin (bps)
Administrator / Agent
Results of T-Bonds Auctions - year 2019
Government Bond of the Czech Republic,
2017-2027, 0.25%
100th Issue, 13th Tranche CZ0001005037 11.01.2019 10.02.2027 8 456 820 000 10.0 1.806 Czech National Bank
Czech Republic Treasury Bond,
2006-2036, 4.20%
49th Issue, 15th Tranche CZ0001001796 11.01.2019  04.12.2036 1 247 000 000 1)  30.0 2.379 Czech National Bank
Government Bond of the Czech Republic,
2018-2029, 2.75%
105th Issue, 10th Tranche CZ0001005375 25.01.2019 23.07.2029 10 051 040 000 2) 11.4 1.980 Czech National Bank
Government Bond of the Czech Republic,
2017-2033, 2.00%
103rd Issue, 10th Tranche CZ0001005243 25.01.2019 13.10.2033 5 163 810 000 3) 16.0 2.321 Czech National Bank
Government Bond of the Czech Republic,
2017-2027, 0.25%
100th Issue, 14th Tranche CZ0001005037 08.02.2019 10.02.2027 5 573 320 000 4) 10.0 1.740 Czech National Bank
Government Bond of the Czech Republic,
2018-2029, 2.75%
105th Issue, 11th Tranche CZ0001005375 08.02.2019 23.07.2029 10 478 470 000 5) 11.4 1.866 Czech National Bank
Government Bond of the Czech Republic,
2015-2030, 0.95%
94th Issue, 17th Tranche CZ0001004477 08.02.2019 15.05.2030 7 944 700 000 6) 15.0 2.008 Czech National Bank
Government EUR-Bond of the Czech Republic,
2019-2021, 0.00%
109th Issue, 1st Tranche CZ0001005706 22.02.2019 20.08.2021 100 000 000 EUR 7) 2.5 -0.030 Czech National Bank
Government Bond of the Czech Republic,
2018-2029, 2.75%
105th Issue, 12th Tranche CZ0001005375 01.03.2019 23.07.2029 5 332 270 000 11.4 1.920 Czech National Bank
Government Bond of the Czech Republic,
2015-2030, 0.95%
94th Issue, 18th Tranche CZ0001004477 01.03.2019 15.05.2030 10 171 750 000 15.0 2.070 Czech National Bank
Czech Republic Treasury Bond,
2006-2036, 4.20%
49th Issue, 16th Tranche CZ0001001796 01.03.2019 04.12.2036 2 344 670 000 8) 30.0 2.592 Czech National Bank
Government Bond of the Czech Republic,
2015-2026, 1.00%
95th Issue, 16th Tranche CZ0001004469 08.03.2019 26.06.2026 5 369 320 000 11.0 1.889 Czech National Bank
Government Bond of the Czech Republic,
2017-2033, 2.00%
103rd Issue, 11th Tranche CZ0001005243 08.03.2019 13.10.2033 6 880 900 000 16.0 2.429 Czech National Bank
Czech Republic Treasury Bond,
2007-2057, 4.85%
53rd Issue, 3rd Tranche CZ0001002059 08.03.2019 26.11.2057 200 000 000 9) 50.0 2.896 Czech National Bank
Government Bond of the Czech Republic,
2017-2027, 0.25%
100th Issue, 15th Tranche CZ0001005037 22.03.2019 10.02.2027 3 927 370 000 10.0 1.957 Czech National Bank
Government Bond of the Czech Republic,
2018-2029, 2.75%
105th Issue, 13th Tranche CZ0001005375 22.03.2019 23.07.2029 4 183 060 000 10) 11.4 1.967 Czech National Bank
Government Bond of the Czech Republic,
2015-2030, 0.95%
94th Issue, 19th Tranche CZ0001004477 22.03.2019 15.05.2030 4 061 340 000 11) 15.0 2.064 Czech National Bank
Government Bond of the Czech Republic,
2015-2026, 1.00%
95th Issue, 17th Tranche CZ0001004469 05.04.2019 26.06.2026 6 337 020 000 11.0 1.795 Czech National Bank
Government Bond of the Czech Republic,
2017-2033, 2.00%
103rd Issue, 12th Tranche CZ0001005243 05.04.2019 13.10.2033 5 872 250 000 12) 16.0 2.300 Czech National Bank
Government EUR-Bond of the Czech Republic,
2019-2021, 0.00%
109th Issue, 2nd Tranche CZ0001005706 12.04.2019 20.08.2021 100 000 000 EUR 13) 2.5  -0.118 Czech National Bank
Government Bond of the Czech Republic,
2015-2030, 0.95%
94th Issue, 20th Tranche CZ0001004477 12.04.2019 15.05.2030 5 998 990 000 14) 15.0 2.021 Czech National Bank
Czech Republic Treasury Bond,
2007-2057, 4.85%
 
 53rd Issue, 4th Tranche CZ0001002059 12.04.2019 26.11.2057 562 080 000 15)  50.0 2.859 Czech National Bank
Government Bond of the Czech Republic,
2015-2026, 1.00%
95th Issue, 18th Tranche CZ0001004469 26.04.2019 26.06.2026 3 270 190 000 16) 11.0 1.767 Czech National Bank
Government Bond of the Czech Republic,
2017-2033, 2.00%
103rd Issue, 13th Tranche CZ0001005243 26.04.2019 13.10.2033 3 741 210 000 17) 16.0 2.238 Czech National Bank
Czech Republic Treasury Bond,
2006-2036, 4.20%
49th Issue, 17th Tranche CZ0001001796 26.04.2019 04.12.2036 2 399 580 000 18) 30.0 2.474 Czech National Bank
Government Bond of the Czech Republic,
2017-2027, 0.25%
100th Issue, 16th Tranche CZ0001005037 17.05.2019 10.02.2027 3 708 030 000 10.0 1.755 Czech National Bank
Government Bond of the Czech Republic,
2017-2033, 2.00%
103rd Issue, 14th Tranche CZ0001005243 17.05.2019 13.10.2033 5 840 110 000 19) 16.0 2.194 Czech National Bank
Czech Republic Treasury Bond,
2007-2057, 4.85%
53rd Issue, 5th Tranche CZ0001002059 17.05.2019 26.11.2057 644 590 000 20) 50.0 2.827 Czech National Bank
Government Bond of the Czech Republic,
2015-2026, 1.00%
95th Issue, 19th Tranche CZ0001004469 31.05.2019 26.06.2026 5 541 090 000 21) 11.0 1.693 Czech National Bank
Government Bond of the Czech Republic,
2018-2029, 2.75%
105th Issue, 14th Tranche CZ0001005375 31.05.2019 23.07.2029 3 438 110 000 22) 11.4 1.725 Czech National Bank
Czech Republic Treasury Bond,
2007-2057, 4.85%
53rd Issue, 6th Tranche CZ0001002059 31.05.2019 26.11.2057 1 157 710 000 23) 50.0 2.768 Czech National Bank
Government Bond of the Czech Republic,
2015-2026, 1.00%
95th Issue, 20th Tranche CZ0001004469 14.06.2019 26.06.2026 3 875 970 000 24) 11.0 1.546 Czech National Bank
Government Bond of the Czech Republic,
2017-2033, 2.00%
103rd Issue, 15th Tranche CZ0001005243 14.06.2019 13.10.2033 4 628 190 000 25) 16.0 1.884 Czech National Bank
Government EUR-Bond of the Czech Republic,
2019-2021, 0.00%
109th Issue, 3rd Tranche CZ0001005706 21.06.2019 20.08.2021 200 000 000 EUR 2.5 -0.309 Czech National Bank
Government Bond of the Czech Republic,
2017-2033, 2.00%
103rd Issue, 16th Tranche CZ0001005243 28.06.2019 13.10.2033 4 238 000 000 26) 16.0 1.755 Czech National Bank
Czech Republic Treasury Bond,
2007-2057, 4.85%
53rd Issue, 7th Tranche CZ0001002059 28.06.2019 26.11.2057 1 459 670 000 27) 50.0 2.574 Czech National Bank
Government Bond of the Czech Republic,
2017-2027, 0.25%
100th Issue, 17th Tranche CZ0001005037 12.07.2019 10.02.2027 3 392 770 000 28) 10.0 1.410 Czech National Bank
Government Bond of the Czech Republic,
2017-2033, 2.00%
103rd Issue, 17th Tranche CZ0001005243 12.07.2019 13.10.2033 4 149 890 000 29) 16.0 1.702 Czech National Bank
Government EUR-Bond of the Czech Republic,
2019-2021, 0.00%
109th Issue, 4th Tranche CZ0001005706 19.07.2019 20.08.2021 165 000 000 EUR 2.5 -0.357 Czech National Bank
Government Bond of the Czech Republic,
2017-2033, 2.00%
103rd Issue, 18th Tranche CZ0001005243 26.07.2019 13.10.2033 4 876 160 000 30) 16.0 1.620 Czech National Bank
Czech Republic Treasury Bond,
2007-2057, 4.85%
53rd Issue, 8th Tranche CZ0001002059 26.07.2019 26.11.2057 1 231 050 000 31) 50.0 2.483 Czech National Bank
Government Bond of the Czech Republic,
2015-2023, 0.45%
97th Issue, 19th Tranche CZ0001004600 30.08.2019 25.10.2023 4 820 170 000 32) 8.1 0.925 Czech National Bank
Government Bond of the Czech Republic,
2017-2033, 2.00%
103rd Issue, 19th Tranche CZ0001005243 30.08.2019 13.10.2033 2 240 000 000 33) 16.0 1.142 Czech National Bank
Government EUR-Bond of the Czech Republic,
2019-2021, 0.00%
109th Issue, 5th Tranche CZ0001005706 13.09.2019 20.08.2021 100 000 000 EUR 2.5 -0.447 Czech National Bank
Government Bond of the Czech Republic,
2015-2026, 1.00%
95th Issue, 21st Tranche CZ0001004469 13.09.2019 26.06.2026 2 204 750 000 34) 11.0 1.264 Czech National Bank
Government Bond of the Czech Republic,
2015-2023, 0.45%
97th Issue, 20th Tranche CZ0001004600 27.09.2019 25.10.2023 1 940 580 000 35) 8.1 1.236 Czech National Bank
Government Bond of the Czech Republic,
2017-2027, 0.25%
100th Issue, 18th Tranche CZ0001005037 27.09.2019 10.02.2027 4 367 730 000 36) 10.0 1.273 Czech National Bank
Government Bond of the Czech Republic,
2017-2033, 2.00%
103rd Issue, 20th Tranche CZ0001005243 27.09.2019 13.10.2033 4 432 170 000 37) 16.0 1.392 Czech National Bank
Government Bond of the Czech Republic,
2017-2027, 0.25%
100th Issue, 19th Tranche CZ0001005037 11.10.2019 10.02.2027 4 591 480 000 38) 10.0 1.201 Czech National Bank
Government Bond of the Czech Republic,
2017-2033, 2.00%
103rd Issue, 21st Tranche CZ0001005243 11.10.2019 13.10.2033 4 150 980 000 39) 16.0 1.247 Czech National Bank
Government Bond of the Czech Republic,
2015-2023, 0.45%
97th Issue, 21st Tranche CZ0001004600 01.11.2019 25.10.2023 2 073 840 000 40) 8.1 1.198 Czech National Bank
Government Bond of the Czech Republic,
2015-2026, 1.00%
95th Issue, 22nd Tranche CZ0001004469 01.11.2019 26.06.2026 2 876 440 000 41) 11.0 1.316 Czech National Bank
Government Bond of the Czech Republic,
2017-2033, 2.00%
103rd Issue, 22nd Tranche CZ0001005243 01.11.2019 13.10.2033 2 573 470 000 42) 16.0 1.422 Czech National Bank
Government Bond of the Czech Republic,
2017-2027, 0.25%
100th Issue, 20th Tranche CZ0001005037 15.11.2019 10.02.2027 2 285 290 000 43) 10.0 1.457 Czech National Bank
Government Bond of the Czech Republic,
2017-2033, 2.00%
103rd Issue, 23rd Tranche CZ0001005243 15.11.2019 13.10.2033 3 473 500 000 44) 16.0 1.578 Czech National Bank
Government Bond of the Czech Republic,
2015-2023, 0.45%
97th Issue, 22nd Tranche CZ0001004600 29.11.2019 25.10.2023 2 286 700 000 45) 8.1 1.280 Czech National Bank
Government Bond of the Czech Republic,
2017-2033, 2.00%
103rd Issue, 24th Tranche CZ0001005243 29.11.2019 13.10.2033 3 089 050 000 46) 16.0 1.518 Czech National Bank
Government Bond of the Czech Republic,
2017-2027, 0.25%
100th Issue, 21st Tranche CZ0001005037 06.12.2019 10.02.2027

2 168 210 000 47)

10.0 1.460 Czech National Bank
Government Bond of the Czech Republic,
2017-2033, 2.00%
103rd Issue, 25th Tranche CZ0001005243 06.12.2019 13.10.2033 3 988 000 000 48) 16.0 1.593 Czech National Bank
Government Bond of the Czech Republic,
2015-2023, 0.45%
97th Issue, 23rd Tranche CZ0001004600 20.12.2019 25.10.2023 0 8.1 - Czech National Bank
Government Bond of the Czech Republic,
2017-2033, 2.00%
103rd Issue, 26th Tranche CZ0001005243 20.12.2019 13.10.2033 3 450 000 000 49) 16.0 1.660 Czech National Bank

*) Average discount margin (bps).

1) The MoF acquired T-Bonds over the level of the auction in the amount of CZK 1 000 000 000 into its own portfolio.

2) The MoF acquired T-Bonds over the level of the auction in the amount of CZK 2 000 000 000 into its own portfolio.

3) The MoF acquired T-Bonds over the level of the auction in the amount of CZK 1 315 180 000 into its own portfolio.

4) The MoF acquired T-Bonds over the level of the auction in the amount of CZK 1 940 000 000 into its own portfolio.

5) The MoF acquired T-Bonds over the level of the auction in the amount of CZK 3 225 000 000 into its own portfolio.

6) The MoF acquired T-Bonds over the level of the auction in the amount of CZK 3 850 000 000 into its own portfolio.

7) The MoF acquired T-Bonds over the level of the auction in the amount of EUR 400 000 000 into its own portfolio.

8) The MoF acquired T-Bonds over the level of the auction in the amount of CZK 1 970 000 000 into its own portfolio.

9) The total nominal value of own portfolio was reduced by CZK 200 000 000.

10) The MoF acquired T-Bonds over the level of the auction in the amount of CZK 5 348 640 000 into its own portfolio.

11) The MoF acquired T-Bonds over the level of the auction in the amount of CZK 5 038 750 000 into its own portfolio.

12) The MoF acquired T-Bonds over the level of the auction in the amount of CZK 1 855 000 000 into its own portfolio.

13) The total nominal value of own portfolio was reduced by EUR 65 000 000.

14) The total nominal value of own portfolio was reduced by CZK 5 998 990 000.

15) The total nominal value of own portfolio was reduced by CZK 562 080 000.

16) The MoF acquired T-Bonds over the level of the auction in the amount of CZK 13 679 650 000 into its own portfolio.

17) The MoF acquired T-Bonds over the level of the auction in the amount of CZK 10 000 000 000 into its own portfolio.

18) The MoF acquired T-Bonds over the level of the auction in the amount of CZK 1 164 380 000 into its own portfolio.

19) The total nominal value of own portfolio was reduced by CZK 5 840 110 000.

20) The total nominal value of own portfolio was reduced by CZK 644 590 000.

21) The total nominal value of own portfolio was reduced by CZK 5 541 090 000.

22) The total nominal value of own portfolio was reduced by CZK 3 438 110 000.

23) The total nominal value of own portfolio was reduced by CZK 1 157 710 000.

24) The total nominal value of own portfolio was reduced by CZK 3 875 970 000.

25) The total nominal value of own portfolio was reduced by CZK 4 628 190 000.

26) The MoF acquired T-Bonds over the level of the auction in the amount of CZK 20 000 000 000 into its own portfolio.

27) The total nominal value of own portfolio was reduced by CZK 1 459 670 000.

28) The MoF acquired T-Bonds over the level of the auction in the amount of CZK 2 200 000 000 into its own portfolio.

29) The total nominal value of own portfolio was reduced by CZK 4 149 890 000.

30) The total nominal value of own portfolio was reduced by CZK 4 876 160 000.

31) The total nominal value of own portfolio was reduced by CZK 1 231 050 000.

32) The MoF acquired T-Bonds over the level of the auction in the amount of CZK 4 000 000 000 into its own portfolio.

33) The total nominal value of own portfolio was reduced by CZK 2 240 000 000.

34) The total nominal value of own portfolio was reduced by CZK 2 204 750 000.

35) The total nominal value of own portfolio was reduced by CZK 1 940 580 000.

36) The total nominal value of own portfolio was reduced by CZK 4 367 730 000.

37) The total nominal value of own portfolio was reduced by CZK 4 432 170 000.

38) The MoF acquired T-Bonds over the level of the auction in the amount of CZK 5 080 680 000 into its own portfolio.

39) The total nominal value of own portfolio was reduced by CZK 4 150 980 000.

40) The total nominal value of own portfolio was reduced by CZK 2 073 840 000.

41) The total nominal value of own portfolio was reduced by CZK 2 876 440 000.

42) The MoF acquired T-Bonds over the level of the auction in the amount of CZK 14 284 000 000 into its own portfolio.

43) The total nominal value of own portfolio was reduced by CZK 2 285 290 000.

44) The total nominal value of own portfolio was reduced by CZK 3 473 500 000.

45) The MoF acquired T-Bonds over the level of the auction in the amount of CZK 4 604 030 000 into its own portfolio.

46) The total nominal value of own portfolio was reduced by CZK 3 089 050 000.

47) The total nominal value of own portfolio was reduced by CZK 2 168 210 000.

48) The total nominal value of own portfolio was reduced by CZK 3 988 000 000.

49) The total nominal value of own portfolio was reduced by CZK 3 450 000 000.

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