28 Jun 2024 ISIN|Issue code|Issue name|Nominal Value [CZK]|Average Price/Value|Nominal Value of Settlement [CZK] CZ0001007322|21608914|SPP 13T 17/05|1000000|99.40| CZ0001007348|22012916|SPP 25T 28/06|1000000|98.03|2502000000 CZ0001007314|22510913|SPP 26T 26/04|1000000|98.86| CZ0001007173|22911902|SPP 52T 01/12|1000000|100.00| CZ0001007272|22911911|SPP 39T 01/03|1000000|98.41| CZ0001007306|41104245|P ČNB 52T 4000 mld 12/04|1000000|100.00|