|
|
 |
|
 |
 |
Czech Republic - Issuer's card |
 |
|
 |
INFORMATION |
|
 |
CZECH REPUBLIC BOND MARKET NEWS |
View all news
 |
SOVEREIGN RATING |
sovereign rating |
|
|
|
|
| | Bonds | |  | |
|
Outstanding bond issues:
sovereign sector 5 issue(s) outstanding worth EUR 8 000 000 000 1 issue(s) outstanding worth CHF 500 000 000 1 issue(s) outstanding worth USD 300 000 000 corporate sector 34 issue(s) outstanding worth EUR 8 620 000 000 3 issue(s) outstanding worth CZK 8 600 000 000 2 issue(s) outstanding worth JPY 19 500 000 000 7 issue(s) outstanding worth USD 560 000 000 municipal sector 2 issue(s) outstanding worth EUR 500 000 000 | |
|
|
|
|
|
|
 |
LATEST BOND ISSUES |
|
|
| CEZ, 2021-4, EUR |
XS0713866787 |
4.102% |
50000000 |
05.12.2011 |
05.12.2021 |
| Czech Export Bank, 2018, CZK (FRN) |
XS0680917647 |
6M Pribor + 0.75% |
3675000000 |
15.09.2011 |
22.09.2018 |
| Czech Railways, 2016, EUR |
XS0641963839 |
4.50% |
300000000 |
17.06.2011 |
24.06.2016 |
| CEZ, 2021-3, EUR (inflation-linked) |
XS0635263394 |
2*inflation index |
100000000 |
01.06.2011 |
21.06.2021 |
| Czech Export Bank, 2021, CZK (FRN) |
XS0630593233 |
6M Pribor + 0.70% |
3675000000 |
19.05.2011 |
26.05.2021 |
| CEZ, 2016, EUR |
XS0630397213 |
3.625% |
500000000 |
18.05.2011 |
27.05.2016 |
| CEZ, 2023, CZK |
XS0622499787 |
4.60% |
1250000000 |
27.04.2011 |
03.05.2023 |
| Czech Export Bank, 2013-3, EUR (FRN) |
XS0616463294 |
3M Euribor + 0.40% |
70000000 |
18.04.2011 |
23.04.2013 |
| Czech Export Bank, 2021, EUR |
XS0598967502 |
4.407% |
70000000 |
28.02.2011 |
03.03.2021 |
| CEZ, 2023, JPY |
XS0592280217 |
2.16% |
11500000000 |
09.02.2011 |
17.02.2023 |
 |
INDEXES |
World Indicators
Daily Indexes
*The information is available only to "Cbonds-PRO CIS Eng", "Cbonds-Premium" subscribers. To subscribe go to the "Subscription" section.
|
Daily Indexes
Viewing the following indexes is possible for Cbonds subscribers after the proprietor’s authorization (JP Morgan). You are welcome to request authorization here.
|
Ñêîðîñòü: 0.038041114807129
|
|
|
|
|
|