3.9.2010 AAA 17,88 Kč 0,00% CETV 432,90 Kč 1,62% ČEZ 832,00 Kč -0,24% ECM 131,18 Kč -1,11% ERSTE GROUP BANK 740,00 Kč -0,67% KITD 181,25 Kč 2,11% KOMERČNÍ BANKA 4 010,00 Kč -1,23% NWR 221,00 Kč 0,91% ORCO 168,76 Kč 1,06% PEGAS NONWOVENS 433,00 Kč 0,25% PHILIP MORRIS ČR 8 995,00 Kč 0,50% TELEFÓNICA O2 C.R. 430,00 Kč -1,80% UNIPETROL 227,00 Kč 0,09% VIG 931,00 Kč -0,17%

HZL ČS VAR/22 ISIN: CZ0002001407

Information about issue

Kind of investment instrumentbond
Security kindowner/bearer
Security formdematerialised
Nominal value [CZK]10,000,000.000
MarketFree market
Trading group1
Number of issued pieces400
Trading unitpercentage
Bond typemortgage
Issue date12/14/2007
Issue maturity date12/14/2022
Interest rate1.370
Ex-coupon11/15/2010
Payment date of coupon12/14/2010

Information about issuer

IssuerČeská spořitelna, a.s.
StreetOlbrachtova 1929/62
Post code14000
TownPraha 4
WWWwww.csas.cz
Semiannual reportcspol012010.zip (290.2 kB)
Annual reportcspox012010.zip (2.5 MB)
More annual reports »

Issuer's business activity

Banking facilities

Trading data

Price [%]
Trade value
[CZKthnd]

PX

week

PX

month

PX

year

PX

5 years

9/3/2010 Total

Price [%]100.00
Price change [%]0.00
Trade volume [pcs]0
Trade value [CZKthnd]0

9/3/2010 Automatic Trades

Closed price [%]0.00
Open price [%]100.00
Minimum daily price [%]0.00
Maximum daily price [%]0.00
Number of trades0
Trade value [CZKthnd]0
Trade volume [pcs]0
Allocation ratio in auction regime [%]0.00
Market code in auction regime8