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Interest rate for WZ T-bonds series (25.11.2019 - 25.05.2020)

20.11.2019

Komunikat w sprawie wysokości stopy procentowej obligacji
serii WZ1122, WZ0524, WZ0525, WZ0528 i WZ1129
           
Information on interest rate for WZ1122, WZ0524, WZ0525, WZ0528 and WZ1129 T-bonds series.
           
           
Seria
Series
WZ1122 WZ0524 WZ0525 WZ0528 WZ1129
Data wykupu
Maturity date
25.11.2022 25.05.2024 25.05.2025 25.05.2028 25.11.2029
Kod ISIN
ISIN code
PL0000109377 PL0000110615 PL0000111738 PL0000110383 PL0000111928
Okres odsetkowy
Coupon period
25.11.2019 - 25.05.2020
Dzień ustalenia praw
Record day
20.05.2020
Data wymagalności
Coupon payment day
25.05.2020
Kupon
Coupon rate
1,79%
Odsetki
Interest
8,95 PLN
           
           
Data
Date
Stopy WIBOR 6M uwzględniane przy obliczaniu kuponu.
WIBOR 6M rates used for T-bonds coupon calculation.
18.11.2019 1,79%
19.11.2019 1,79%
20.11.2019 1,79%
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