Board’s Decisions of 19/November/2020

19-Nov-2020

Register the following issues of Jordanian treasury bonds for the year 2020 in  the  Jordan Securities Commission, according to the issuance conditions attached to the letters  of the Central Bank, and addressing  the Securities Depository Center for registering them.
The twenty-fifth issue of Jordanian Treasury  Bills  for the year 2020 , at a maturity of  14-9-2022  at a value of JD 75 million, for a period  2 years with interest rate 2.836%
The twenty-sixth of Jordanian Treasury  Bills for the year 2020 at a maturity 20-9-2023 at a value of JD75 million, for a period 3 years with interest rate 3.083%
The twenty- seventh of Jordanian Treasury Bills for the year 2020 at a maturity 20-9-2025 at a value of JD50 million, for a period 5 years with the interest rate 3.533%
The twenty- eighth of Jordanian Treasury Bills for the year 2020 at a maturity 14-10-2027 at a value JD75 million , for a period 7 years with interest rate 3.710%
The twenty-ninth of Jordanian Treasury Bills for the year 2020 at a maturity 19-10-2022 at a value of JD100 million, for a period 2 years with interest rate 2.828%
Approving the registration of twenty- ninth of Jordanian Treasury Bills for the year 2020 at a maturity 19-10-2022 at a value of JD 100 million, for a period 2 years  with  an interest rate  2.828%  at Jordan Securities Commission( JSC) , according to the issuance conditions attached to the letter of the Central Bank, and addressing the Securities Depository Center to register them.