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Public Entities Bonds

No.Bond Code Name #Bonds Volume Issue date Maturity date Interest Close price Last trade date
150175 PB63 PUB.BD 63 (5.850%) 20,000 20,000,000 30/01/2014 30/01/2019 5.850 1,000
150176 PB64 PUB.BD 64 (5.583%) 32,500 32,500,000 01/07/2014 01/07/2019 5.583 1,000
150179 PB67 PUB.BD 67(3.967%) 20,000 20,000,000 12/05/2016 12/05/2021 3.967 1,000
150180 PB68 PUB.BD 68 (3.171%) 20,000 20,000,000 31/10/2016 31/10/2019 3.171 1,000
150181 PB69 PUB.BD 69 (6.484%) 43,000 43,000,000 10/11/2016 10/11/2026 6.484 1,000
150182 PB013 PUB.BD 13 (5.449%) 75,000 75,000,000 22/03/2017 22/03/2022 5.449 1,000
150183 PB70 PUB.BD 70 (7.240%) 75,000 75,000,000 29/03/2017 29/03/2027 7.240 1,000
150184 PB014 PUB.BD 14 (5.577%) 75,000 75,000,000 16/04/2017 16/04/2022 5.577 1,000
150185 PB015 PUB.BD 15 (5.650%) 75,000 75,000,000 26/04/2017 26/04/2022 5.650 1,000
150186 PB71 PUB.BD 71 (6.411%) 75,000 75,000,000 28/08/2017 28/08/2024 6.411 1,000
150187 PB72 PUB.BD 72 (5.479%) 50,000 50,000,000 07/09/2017 07/09/2022 5.479 1,000
150188 PB73 PUB.BD 73 (5.556%) 50,000 50,000,000 05/12/2017 05/12/2022 5.556 1,000