Bonds issued on behalf of the COVID-19 Response Fund

Auction calendar in May 2021

Modification of the auction calendar in April 2021

Auction calendar in April 2021

Auction calendar in March 2021

Press release - sale auctions in February 2021

Press release - sale auctions in January 2021

Auction calendar in December 2020

Auction calendar in November 2020

Auction calendar in October 2020

Auction calendar in September 2020

Auction calendar in August 2020

Press release - rating of FPC0733 sold on 20.07.2020

Press release - issue price and nominal value of FPC0733 sold on 20.07.2020

Press release - rating of FPC0725 sold on 01.07.2020

Auction calendar in July 2020

Press release - rating of FPC0630 sold on 04.06.2020

Press release - issue price and nominal value of FPC0427 and FPC0630 sold on 04.06.2020

Press release - issue price and nominal value of FPC0427 sold on 21.05.2020

Press release - issue price and nominal value of FPC0427 sold on 08.05.2020

Press release - issue price and nominal value of FPC0427 sold on 23.04.2020

Press release - rating of FPC0427 sold on 23.04.2020

Auction date

Series

Press release on auction

Press release - auction results

Press release - additional sale

17.06.2020FPC0630press releasepress releasepress release

01.07.2020

FPC0725

FPC0630

press releasepress releasepress release
15.07.2020

FPC0725

FPC0630

press releasepress release

press release

29.07.2020

FPC0725

FPC0630

FPC0733

press releasepress releasepress release
26.08.2020

FPC0630

FPC0733

press releasepress releasepress release
23.09.2020

FPC0630

FPC0733

press releasepress releasepress release
07.10.2020FPC0725press releasepress releasepress release
28.10.2020

FPC0630

FPC0733

press releasepress releasepress release
10.11.2020FPC0630press releasepress releasepress release
25.11.2020

FPC0630

FPC1140

press releasepress releasepress release
09.12.2020

FPC0630

FPC0733

FPC1140

press releasepress releasepress release
17.12.2020

FPC0630

FPC0733

FPC1140

press releasepress releasepress release
10.03.2021

FPC0328

FPC0733

FPC1140

press releasepress releasepress release
31.03.2021

FPC0328

FPC0733

FPC1140

press releasepress releasepress release
15.04.2021

FPC0328

FPC0733

FPC1140

press releasepress releasepress release
27.04.2021

FPC0328

FPC0733

FPC1140

press releasepress releasepress release
10.05.2021

FPC0631

FPC1140

press release  

 

Issue dateMaturity date

Issue amount

ISINActual guarantee amountDeed of GuaranteeLetter of issue
FPC072503.07.2025PLN 24 896 mPL0000500286PLN 26 452 mdeed of guarantee

letter of issue

annex no 1

FPC042727.04.2027PLN 33 585 mPL0000500260PLN 37 363 mdeed of guaranteeletter of issue
FPC032812.03.2028PLN 12 579 mPL0000500310PLN 14 120 mdeed of guarantee

letter of issue

FPC063005.06.2030PLN 34 217 mPL0000500278PLN 41 488 mdeed of guarantee

letter of issue

annex no 1

FPC063112.06.2031 PL0000500328  letter of issue
FPC073321.07.2033PLN 5 952 mPL0000500294PLN 7 693 mdeed of guarantee

letter of issue

annex no 1

annex no 2

FPC114027.11.2040PLN 3 752 mPL0000500302PLN 5 534 mdeed of guarantee

letter of issue

annex no 1