|
Tender date |
: |
20 July 2021 |
|---|---|---|
|
Paper on offer |
: |
EF Bills |
|
Issue number |
: |
Q2129 |
|
Issue date |
: |
21 July 2021 |
|
Maturity date |
: |
20 October 2021 |
|
Amount applied |
: |
HK$244,300 MN |
|
Amount allotted |
: |
HK$55,562 MN |
|
Average yield accepted |
: |
0.01 PCT |
|
Highest yield accepted |
: |
0.01 PCT |
|
Pro rata ratio* |
: |
About 29 PCT |
|
Average tender yield |
: |
0.01 PCT |
|
**************************** |
||
|
Tender date |
: |
20 July 2021 |
|
Paper on offer |
: |
EF Bills |
|
Issue number |
: |
H2158 |
|
Issue date |
: |
21 July 2021 |
|
Maturity date |
: |
19 January 2022 |
|
Amount applied |
: |
HK$138,686 MN |
|
Amount allotted |
: |
HK$17,000 MN |
|
Average yield accepted |
: |
0.01 PCT |
|
Highest yield accepted |
: |
0.02 PCT |
|
Pro rata ratio* |
: |
About 5 PCT |
|
Average tender yield |
: |
0.02 PCT |
*“Pro rata ratio” refers to the average percentage of allotment with respect to each tender participant’s tendered amount at the “highest yield accepted” level.
---------------------------------------------------------
Hong Kong Monetary Authority
Tenders to be held in the week beginning – 26 July 2021 :
|
Tender date |
: |
27 July 2021 |
|---|---|---|
|
Paper on offer |
: |
EF Bills |
|
Issue number |
: |
Q2130 |
|
Issue date |
: |
28 July 2021 |
|
Maturity date |
: |
27 October 2021 |
|
Tenor |
: |
91 Days |
|
Amount on offer |
: |
HK$33,427 MN |
|
**************************** |
||
|
Tender date |
: |
27 July 2021 |
|
Paper on offer |
: |
EF Bills |
|
Issue number |
: |
H2159 |
|
Issue date |
: |
28 July 2021 |
|
Maturity date |
: |
26 January 2022 |
|
Tenor |
: |
182 Days |
|
Amount on offer |
: |
HK$12,600 MN |
End/Tuesday, 20 July, 2021
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