Asset

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UGD 15% 2027

OI10G27A · Treasury bond · BODIVA

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Terms

Issue characteristics

Subject to IAC
Type
Treasury bond
Annual coupon rate
15.00%
Coupon frequency
semi-annual
Issue date
Aug 10, 2022
Admission date
Sep 08, 2023
Maturity
Aug 10, 2027 (11 months remaining)
Face value per note
100,000 Kz
Quantity issued
19,490
Total amount issued
1.9B Kz

Cashflow simulator

Nominal investment
1,000,000 Kz
Estimated next coupon
75,000 Kzon Feb 10, 2027

Indicative dates, without business-day adjustment.

Indicative dateGross coupon per notePrincipal per noteGross total (10 notes)
Feb 10, 20237,500 Kz75,000 Kz
Aug 10, 20237,500 Kz75,000 Kz
Feb 10, 20247,500 Kz75,000 Kz
Aug 10, 20247,500 Kz75,000 Kz
Feb 10, 20257,500 Kz75,000 Kz
Aug 10, 20257,500 Kz75,000 Kz
Feb 10, 20267,500 Kz75,000 Kz
Aug 10, 20267,500 Kz75,000 Kz
Feb 10, 20277,500 Kz75,000 Kz
Aug 10, 20277,500 Kz100,000 Kz1,075,000 Kz

Amounts are gross of taxes.

Tax regime

  • Rendimentos Sujeitos a IAC [Fonte: BODIVA — ficha do título, campo Regime Fiscal (metadata.source=bodiva); TAUA-3550]

Technical and tax parameters

Day count convention
365/366
Index references
Sem Indexante
Trading segment
Mercado de Bolsas de Títulos de Tesouro (MBTT)
Haircut
0%
Issuance type
Leilão

Tax regime

Rendimentos Sujeitos a IAC