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11 April 2022

INFORMATION

about the results of the auction for treasury bonds

issue № BG 20 301 21 110/17.11.2021,
maturity - 17.05.2025, settlement date - 13.04.2022

1. Total amount of the issue

will be increased
through auctions

2. Nominal value of the quantity offered at the auction (thousand BGN)

500,000

3. Total nominal value of the bids admitted for participation (thousand BGN), incl.

752,350

competitive

692,350

noncompetitive

60,000

4. Total nominal value of the bids approved (thousand BGN), incl.

500,000

competitive

440,000

noncompetitive

60,000

5. Price of the bids approved per 100 BGN nominal value

(BGN)

Annual yield

(%)

minimum

96.60

1.12

maximum

97.71

0.75

weighted average

97.33

0.88

6. Annual interest rate (%)

0.00

7. Coverage coefficient (3/2)

1.50

Note: Base interest rate as of the auction date: 0.0%

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