Number of Issue

ISIN

Date of Issue

Maturity Date

Original Years to Maturity

Face Value [Eur]

Coupon in % p.a.

Coupon Frequency

Demand (Eur)

Bid Price in %

Accepted Bid Price in %

Total

Accepted

minimum

average

maximum

minimum

average

maximum

215/A

SK4120007527

14.10.2010

14.10.2013

3

1

6M EURIBOR

semiannually

600 300 000

149 300 000

97,0718

97,9348

98,4055

98,1700

98,2585

98,4055

215/B

SK4120007527

08.12.2010

14.10.2013

3

1

6M EURIBOR

semiannually

285 000 000

159 700 000

98,0100

98,3557

98,6400

98,3500

98,4543

98,6400

215/C

SK4120007527

26.01.2011

14.10.2013

3

1

6M EURIBOR

semiannually

554 900 000

332 800 000

98,1280

98,6533

99,2500

98,6700

98,7786

99,2500

215/D

SK4120007527

09.03.2011

14.10.2013

3

1

6M EURIBOR

semiannually

453 400 000

207 500 000

98,3000

98,7862

99,0727

98,8500

98,9036

99,0727

215/E

SK4120007527

18.05.2011

14.10.2013

3

1

6M EURIBOR

semiannually

441 900 000

206 900 000

98,7900

98,9978

99,2000

99,0550

99,0768

99,2000

215/F

SK4120007527

15.06.2011

14.10.2013

3

1

6M EURIBOR

semiannually

321 000 000

193 000 000

98,8700

99,0862

99,2600

99,1000

99,1319

99,2600

215/G

SK4120007527

07.09.2011

14.10.2013

3

1

6M EURIBOR

polročne

314 700 000

250 800 000

98,7000

98,9776

99,2000

98,8860

99,0220

99,2000

Total

2 971 200 000

1 500 000 000

 

 

 

 

Floating Interest Rates of the SD 215

 

Start Date

End Date

Coupon in % p.a.

 

14.10.2010

14.04.2011

1,206%

 

14.04.2011

14.10.2011

1,621%

 

14.10.2011

14.04.2012

1,774%

 

14.04.2012

14.10.2012

1,053%

 

14.10.2012

14.04.2013

0,416%

 

14.04.2013

14.10.2013

0,329%

 

Last update:

15.04.2013