Board's Decisions of 3-11-2021

03-Nov-2021

Approving the registration of the following issues No.(35-36-37-38-39-40-41-42) of the Jordanian Treasury Bills for the year 2021 and the issue No. (5) of the Jordanian Treasury Bills for the year 2021 at Jordan Securities Commission , and addressing Securities Depository Centre to register them:
• The thirty-fifth issue of Jordanian treasury bonds for the year 2021,  at a maturity of 9/9/2024 , with a value of JD 100% million for a period 3 years, and weighted average for interest price reached to 3.172 %
• The thirty –sixth issue of Jordanian treasury bonds for the year 2021, at a maturity of 19/9/2023, with a value of JD 150million for a period 2 years, and weighted average for interest price reached to 2.932%.
• The thirty-seventh issue of Jordanian treasury bonds for the year 2021, at a maturity of 19/9/2031 , with a value of JD 50 million for a period 10 years, the weighted average for interest reached to 4.720.
• The thirty-eighth issue of Jordanian treasury bonds for the year 2021, at a maturity of 3/10/ 2023, with a value of JD50 million, the weighted average       reached to 2.979%.
• The thirty-ninth issue of Jordanian treasury bonds for the year 2021, at a maturity of 3/10/2024, with a value of JD 50 million for a period 3 years, the weighted average reached to 3.240%.
• The fourteenth issue of Jordanian treasury bonds for the year 2021, at a maturity of JD 75 million, for 2 years, the weighted average reached to 3.015%.
• The forty-first issue of Jordanian treasury bonds for the year 2021, at a maturity of JD 100 million, for 10 years, the weighted average reached to 4.820%.
• The fifth issue of Jordanian treasury bills for the year 2021, at a maturity of 25/1/2022, amounted of JD 50 million, for the year 3 months, the weighted average 2.298 yearly.