T-Bond - Togo - 05/08/2022 - Obligations de Relance (OdR)
Amount 25 000 (millions of FCFA) | Amount Withheld 25 000.0000 (millions of FCFA) | Marginal price 9 960.0000F CFA | Weighted average rate 5.7600 % |
Amount 25 000 (millions of FCFA) | Amount Withheld 25 000.0000 (millions of FCFA) | Marginal price 9 960.0000F CFA | Weighted average rate 5.7600 % |
Instrument: | T-Bond |
Date of operation: | 05/08/2022 |
Tender amount: | 25 000 millions of FCFA |
Terms: | 60 month(s) |
Grace period | -- year(s) |
Value date: | 08/08/2022 |
Maturity: | 08/08/2022 |
Interest rate: | 5.7500% |
Denomination per unit: | 10 000 FCFA |
Amount requested: | 25 000 millions of FCFA |
Total proposed amount: | 42 132.5000 millions of FCFA |
Price (weighted average): | 9 993.6500 FCFA |
Marginal Price: | 9 960.0000 FCFA |
Number of bids: | 26 |
Rate of coverage of the amount tendered: | 168.5300 % |
Winning bids: | 25 000.0000 millions of FCFA |
Weighted average yield: | 5.7600 % |
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Where to submit bids : Bids are submitted through the SAGETIL-UMOA software application
Submission date : 05/08/2022 10h30mn UTC
The files of the above issuance will be progressively put at your disposal. This column is updated on a regular basis.
In the case of issuances by syndication, investors are requested to join a brokerage firm to open a securities account. After issuance on the primary market these securities are renegotiable on the BRVM which is the regional stock exchange market. As for securities issued through tender investors are requested to get in contact with the primary dealers, banks and brokerage firms of the WAEMU zone
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