MARKET

1.1 TREASURY BILLS & NOTES.

ISIN SECURITIES BIDS (AMT) TENDERED GHS(M) BIDS (AMT) ACCEPTED GHS(M) RANGE OF BID RATES (% P.A.) BID RATES ALLOTTED IN FULL (%P.A.) WEIGHTED AVG. RATES FOR THE WEEK 29TH JUN-3RD JUL., 2015 (% P.A)
Discount Rate Interest Rate Discount Rate Interest Rate
GHGGOG039892 91 Day Bill GH¢555.73 GH¢542.42 23.5000-37.7000 23.5000-23.8000 24.9668-25.3057 23.7293 25.2258
GHGGOG039900 182 Day Bill GH¢87.44 GH¢86.74 22.5000-26.5000 22.5000-23.0000 25.3521-25.9887 22.8924 25.8514
GHGGOG039918 1 Year Note GH¢2.63 GH¢2.63 20.0000-22.5000   20.0000-22.5000   22.5000
GHGGOG039926 2 Year FXR Note GH¢5.93 GH¢5.93 22.5000-23.0000   22.5000-23.0000   23.0000

TARGET FOR T-BILLS & NOTES: GH¢905.00 Million

 

SUMMARY OF TENDER 1438 HELD ON 19TH JUNE, 2015 FOR TREASURY BILLS AND NOTES

SECURITIES TOTAL AMOUNT TENDERED TOTAL AMOUNT SOLD
Short Term T/Bills & Note GH¢613.96.00 Million GH¢613.41 Million
2 Year Fixed Rate Note GH¢1.30 Million GH¢1.30 Million

2. TARGET FOR TENDER 1440

SECURITIES AMOUNT
SHORT AND MEDIUM TERM SECURITIES GH¢939.00 MILLION

i) Members of the general public may apply to any Primary Dealer for purchases of the said securities.

ii) Detailed bids for both short-term and medium-term securities must be electronically delivered to the Central Securities Depository Auction Module not later than 1.00 p.m. on FRIDAY 3RD JULY, 2015.

 

CAROLINE OTOO (MRS)

THE SECRETARY                                                                                                                                                  26TH JUNE, 2015

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