Announcement
Change of Slovak
Government Bonds Issue Conditions
Hereby we announce change of
redemption paying agent, regarding interest and nominal value of Slovak
Government Bonds payments. The payments of following Bonds will be carried out
by Agentúra pre riadenie dlhu a likvidity (Debt and
Liquidity Management Agency) effect from 01.01.2006:
Issue Number |
ISIN |
Issue Number |
ISIN |
133 |
SK4120002601 |
184 |
SK4120003336 |
134 |
SK4120002627 |
188 |
SK4120003658 |
142 |
SK4120002734 |
189 |
SK4120003674 |
143 |
SK4120002742 |
191 |
SK4120003740 |
144 |
SK4120002759 |
192 |
SK4120003799 |
151 |
SK4120002833 |
199 |
SK4120003997 |
152 |
SK4120002841 |
200 |
SK4120004201 |
161 |
SK4120002932 |
201 |
SK4120004219 |
163 |
SK4120002965 |
202 |
SK4120004227 |
166 |
SK4120003120 |
203 |
SK4120004284 |
170 |
SK4120003187 |
204 |
SK4120004318 |
174 |
SK4120003229 |
205 |
SK4120004565 |