الرصيد القائم من سندات المؤسسات العامة
Issue Number
|
Issue Date
|
Maturity Date
|
Size J. D. MIO
|
Coupon Rate (%)
|
PNEN16M26042025
|
26/04/2023
|
26/04/2025
|
050.00
|
6.989
|
PNEN17M22062025
|
22/06/2023
|
22/06/2025
|
075.00
|
6.550
|
PNEN18M28082026
|
28/08/2023
|
28/08/2026
|
100.00
|
6.950
|
PWAN69M10112026
|
10/11/2016
|
10/11/2026
|
043.00
|
6.484
|
PWAN70M29032027
|
29/03/2017
|
29/03/2027
|
075.00
|
7.240
|
PNEN19M30082028
|
30/08/2023
|
30/08/2028
|
050.0
|
6.850
|
PNEN: National Electric Power Company Bonds
PWAN: Water Authority Bonds
|