Government Bond Auctions Results

                                                               T-bond auctions       
 **Auction Results** 
 ISIN                                                 CZ0001007256 CZ0001006431 CZ0001005920 CZ0001007041 CZ0001007033
 Issue Name                                           GB3.00/33    GB3.50/35    GB1.50/40    GBVAR/43     GB4.50/32   
 Issuer                                               MF           MF           MF           MF           MF          
 Total Bid Amount (CZK bln)                           21.91000     23.36500     5.94500      7.89351      11.95595    
     of that Competitive Bids (CZK bln)                   5.91000      5.36500      1.94500      3.41200      5.91920   
     of that Non-Competitive Bids (CZK bln)               0.00000      0.00000      0.00000      0.11355      0.54366   
 Total Sold Amount (CZK bln)                          21.00000     21.00000     5.00000      5.71851      9.13095     
     of that Competitive Bids (CZK bln)                   5.00000      3.00000      1.00000      1.23700      3.09420   
     of that Non-Competitive Bids (CZK bln)               0.00000      0.00000      0.00000      0.11355      0.54366   
 Purchased by Issuer (CZK bln)                        16.00000     18.00000     4.00000      4.36796      5.49309     
 Highest Allocated Price                              91.700       93.950       68.410       99.050       101.530     
 Lowest Allocated Yield (% p.a.)                      4.157        4.202        4.291        8.813        4.274       
 Average Allocated Price                              91.601       93.845       68.200       98.995       101.428     
 Average Allocated Yield (% p.a.)                     4.172        4.214        4.314        9.260        4.288       
 Cut-off Price                                        91.440       93.760       67.850       98.980       101.360     
 Cut-off Yield  (% p.a.)                              4.196        4.224        4.353        9.382        4.298       
 Allocation Ratio at Cut-off Price (%)                70.00000     8.82353      52.50000     100.00000    100.00000   
                                                                                 
 PLEASE NOTE, ISIN CZ0001006480 IS EURO DENOMINATED.                             
 * YIELDS ARE CALCULATED FROM THE RESPECTIVE PRICES. IN CASE OF FLOATER          
 THE DISCOUNT MARGIN IS PUBLISHED.                                               
 The T-bond issue calendar is on HTTP://WWW.MFCR.CZ/