№ | Registration number of issuance | Date of issuance | Settlement date |
Maturity date |
Tenor | Average yield=Refinancing rate: | Volume of issuance |
1 |
K252007001 |
03.01.2025 |
06.01.2025 | 13.01.2025 | 7 |
- 1,0 percentage point |
100 000 000 |
2 |
K252007002 |
06.01.2025 |
07.01.2025 | 14.01.2025 |
7 |
- 1,0 percentage point |
100 000 000 |
3 |
K252091003 |
08.01.2025 |
09.01.2025 |
10.04.2025 |
91 |
- 0,5 percentage point |
50 000 000 |
4 |
K252007004 |
10.01.2025 |
13.01.2025 |
20.01.2025 |
7 |
- 1,0 percentage point |
150 000 000 |
5 |
K252007005 |
13.01.2025 |
14.01.2025 |
21.01.2025 |
7 |
- 1,0 percentage point |
100 000 000 |
6 |
K252182006 |
15.01.2025 |
16.01.2025 |
17.07.2025 |
182 |
Maximum rate = Refinancing rate |
50 000 000 |
7 |
K252007007 |
17.01.2025 |
20.01.2025 |
03.02.2025 |
7 |
- 1,0 percentage point |
160 000 000 |
8 |
K252007008 |
20.01.2025 |
21.01.2025 |
28.01.2025 |
7 |
- 0,5 percentage point |
100 000 000 |
9 |
K252007009 |
24.01.2025 |
27.01.2025 |
03.02.2025 |
7 |
- 1,0 percentage point |
100 000 000 |
10 |
K252007010 |
27.01.2025 |
28.01.2025 |
04.02.2025 |
7 |
- 1,0 percentage point |
100 000 000 |
11 |
K252007011 | 29.01.2025 | 30.01.2025 | 06.02.2025 | 7 | - 1,0 percentage point | 170 000 000 |
X | X | X | X | X | X | X |
1 180 000 000 |