Treasury securities market

Administrator’s notification

  • The Bond of the Czech Republic, 2015–2026, 1,00 % ISIN CZ0001004469 and the payment of interest on stripped coupon No. 10 ISIN CZ0000703236

Administrator’s notification

  • The Bond of the Czech Republic, 2021–2032, 1,75 % ISIN CZ0001006233 and the payment of interest on stripped coupon No. 4 ISIN CZ0000704531

Administrator’s notification

  • The Bond of the Czech Republic, 2023–2031, 6,20% ISIN CZ0001006969 and the payment of interest on stripped coupon No. 2 ISIN CZ0000705772

Administrator’s notification

  • The Bond of the Czech Republic, 2022–2035, 3,50% ISIN CZ0001006431 and the payment of interest on stripped coupon No. 3 ISIN CZ0000704812