HZL ČS 4,50/15
ISIN: CZ0002001068
Information about issue
| Kind of investment instrument | bond |
| Security kind | owner/bearer |
| Security form | dematerialised |
| Nominal value [CZK] | 2,000,000.000 |
| Market | Free market |
| Trading group | 1 |
| Number of issued pieces | 375 |
| Trading unit | percentage |
| Bond type | mortgage |
| Issue date | 6/28/2007 |
| Issue maturity date | 10/5/2015 |
| Interest rate | 4.500 |
| Ex-coupon | 9/6/2011 |
| Payment date of coupon | 10/5/2010 |
Other instruments of issuer
| bond | ČS 3,00/13 |
| bond | ČS 3,49/12 |
| bond | ČS 3,50/12 |
| bond | ČS KOMB/13 |
| bond | ČS KOMB/17 |
| More » |
| bond | ČS VAR/12 |
| bond | ČS VAR/13 |
| bond | ČS VAR/14 |
| bond | ČS VAR/16 |
| bond | HZL ČS 3,65/14 |
| bond | HZL ČS 4,00/10 |
| bond | HZL ČS 4,75/15 |
| bond | HZL ČS 4,80/16 |
| bond | HZL ČS 5,85/17 |
| bond | HZL ČS 5,90/12 |
| bond | HZL ČS 5,90/17 |
| bond | HZL ČS 6,15/23 |
| bond | HZL ČS VAR/11 |
| bond | HZL ČS VAR/14 |
| bond | HZL ČS VAR/14 |
| bond | HZL ČS VAR/17 |
| bond | HZL ČS VAR/22 |
| bond | HZL ČS VAR/22 |
Issuer's business activity
Banking facilities
Price [%]
Trade value
[CZKthnd]
9/3/2010 Total
| Price [%] | 101.76 |
| Price change [%] | 0.00 |
| Trade volume [pcs] | 0 |
| Trade value [CZKthnd] | 0 |
9/3/2010 Automatic Trades
| Closed price [%] | 0.00 |
| Open price [%] | 101.76 |
| Minimum daily price [%] | 0.00 |
| Maximum daily price [%] | 0.00 |
| Number of trades | 0 |
| Trade value [CZKthnd] | 0 |
| Trade volume [pcs] | 0 |
| Allocation ratio in auction regime [%] | 0.00 |
| Market code in auction regime | 8 |
9/3/2010 | 4:00 PM AT - continual regime
| Actual price [%] | 101.76 |
| Change of actual price to opening [%] | 0.00 |
| The best price - bid [%] | |
| No of securities at bid [pcs] | 0 |
| The best price - ask [%] | |
| No of securities at ask [pcs] | 0 |
| Minimal price of trade [%] | |
| Maximal price of trade [%] | |
| Trade value [CZK] | 0 |
| Trade volume [pcs] | 0 |
| Lot [pcs] | 1 |