نيا
3
MONDAY, AUGUST 10, 1992
TENDER FOR FOURTH ISSUE OF GOVT BONDS
*
THE OFFICE OF THE EXCHANGE FUND ANNOUNCED TODAY (MONDAY) THAT THE TENDER FOR THE FOURTH ISSUE OF GOVERNMENT BONDS WILL BE HELD ON AUGUST 17 (MONDAY) FOR SETTLEMENT ON AUGUST 18, 1992 (TUESDAY).
AS WITH THE PREVIOUS THREE ISSUES, AN AMOUNT OF HK$500 MILLION TWO-YEAR BONDS WILL BE ON OFFER.
IN ADDITION TO THAT, ANOTHER HK$100 MILLION WILL BE HELD AS RESERVE BY THE OFFICE OF THE EXCHANGE FUND FOR SUPPLY ΤΟ MARKET MAKERS THROUGH SECONDARY MARKET TRADING.
18.
THE BONDS WILL MATURE ON THURSDAY AUGUST
1994 AND WILL CARRY INTEREST AT THE RATE OF 4.375% PER ANNUM PAYABLE SEMI-ANNUALLY IN ARREARS.
MEMBERS OF THE PUBLIC WHO WISH TO TENDER FOR THE BONDS MAY DO SO THROUGH ANY OF THE MARKET MAKERS OR RECOGNIZED DEALERS ON THE PUBLISHED LIST WHICH CAN BE OBTAINED FROM THE OFFICE OF THE EXCHANGE FUND AT 24TH FLOOR, ADMIRALTY CENTRE, TOWER
II,
18 HARCOURT ROAD, HONG KONG (OR TELEPHONE 528 9110).
EACH TENDER MUST BE FOR AN AMOUNT OF HK$50,000 OR INTEGRAL MULTIPLES THEREOF.
FOLLOWING IS THE TENDER INFORMATION FOR FOURTH ISSUE OF GOVERNMENT BONDS:
ISSUE NUMBER
;
2408
TENDER DATE AND TIME
:
MONDAY, AUGUST 17, 1992, 9.30 AM TO 10.30 AM
ISSUE AND SETTLEMENT DATE
AMOUNT OF OFFER
TUESDAY, AUGUST 18, 1992
:
HK$500 MILLION PLUS AN ADDITIONAL
HK$100 MILLION AS RESERVE STOCK FOR
THE OFFICE OF THE EXCHANGE FUND
:
TWO YEARS
MATURITY
MATURITY DATE
INTEREST RATE
: AUGUST 18, 1994
:
4.375% PER ANNUM PAYABLE SEMI-ANNUALLY IN ARREARS
1993.
FEBRUARY 18, 1993, AUGUST 18, FEBRUARY 18, 1994, AUGUST 18, 1994
INTEREST PAYMENT DATES
:
/TENDER AMOUNT