9/10/2010 AAA 17.61 CZK -0.40% CETV 420.90 CZK -2.52% ČEZ 820.90 CZK -0.98% ECM 156.20 CZK -5.34% ERSTE GROUP BANK 719.20 CZK -1.33% KITD 188.01 CZK 2.28% KOMERČNÍ BANKA 3,950.00 CZK 1.18% NWR 222.00 CZK -1.11% ORCO 186.26 CZK 2.03% PEGAS NONWOVENS 437.00 CZK -0.68% PHILIP MORRIS ČR 9,152.00 CZK 1.93% TELEFÓNICA O2 C.R. 388.00 CZK 0.78% UNIPETROL 225.00 CZK -0.35% VIG 935.50 CZK 0.97%

ST.DLUHOP. 5,70/24 ISIN: CZ0001002547

Information about issue

Kind of investment instrumentbond
Security kindowner/bearer
Security formdematerialised
Nominal value [CZK]10,000.000
MarketMain market
Trading group1
Number of issued pieces6,122,787
Trading unitpercentage
Bond typestate
Issue date5/25/2009
Issue maturity date5/25/2024
Interest rate5.700
Ex-coupon4/26/2011
Payment date of coupon5/25/2011

Information about issuer

IssuerMinisterstvo financí
StreetLetenská 15
Post code11810
TownPraha 1
WWW

Other instruments of issuer

bondČKA 4,00/10
voucher / couponSD K11 4,60/14
voucher / couponSD K11 4,70/18
voucher / couponSD K11 4,85/18
voucher / couponSD K12 4,20/18
More »

Issuer's business activity

State administration central organ

Trading data

Price [%]
Trade value
[CZKthnd]

PX

week

PX

month

PX

year

PX

5 years

9/10/2010 Total

Price [%]103.99
Price change [%]0.00
Trade volume [pcs]1,850
Trade value [CZKthnd]23,242

9/10/2010 Automatic Trades

Closed price [%]0.00
Open price [%]103.99
Minimum daily price [%]0.00
Maximum daily price [%]0.00
Number of trades0
Trade value [CZKthnd]0
Trade volume [pcs]0
Allocation ratio in auction regime [%]0.00
Market code in auction regime8

9/10/2010 Block Trades

Minimal price of trade [%]123.80
Maximal price of trade [%]124.00
Trade volume [pcs]1,850
Trade value [CZKthnd]23,242