Plan of issuance securities of the National Bank of Tajikistan January2025

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 

 

Participants of auction can submit their demands for purchase of securities of the National Bank of Tajikistan through system “CSD” in due time of auction’s day and put written demands in a special box located at the entrance hall of the NBT head office.