SECURITIES MARKET INFORMATION BULLETIN 14/03/2022
FORCED SALES
The following Greek Government Bonds will be auctioned. The start price for the auction of bonds is defined by the clean minimum acceptable redemption price per ISIN.
Number of Bonds |
ISIN |
Price NET Minimum acceptable redemption price per ISIN / par value (%) |
4,308 |
GR0128010676 |
99.42% |
4,308 |
GR0128011682 |
102.77% |
4,308 |
GR0128012698 |
104.13% |
4,308 |
GR0128013704 |
106.62% |
4,308 |
GR0128014710 |
107.52% |
4,595 |
GR0133006198 |
109.58% |
4,595 |
GR0133007204 |
106.61% |
4,595 |
GR0133008210 |
114.26% |
4,595 |
GR0133009226 |
115.67% |
4,595 |
GR0133010232 |
115.47% |
4,595 |
GR0138005716 |
117.68% |
4,595 |
GR0138006722 |
114.71% |
4,595 |
GR0138007738 |
116.49% |
4,595 |
GR0138008744 |
117.01% |
4,595 |
GR0138009759 |
118.83% |
4,595 |
GR0138010765 |
118.78% |
4,595 |
GR0138011771 |
133.89% |
4,595 |
GR0138012787 |
119.06% |
4,595 |
GR0138013793 |
118.90% |
4,595 |
GR0138014809 |
119.99% |