Overview
Announcements

Fixed Income Indices | Full tender | 27th January 2021

The Full tender took place on Wednesday, 27 January 2021 for the bonds liseted below. The bonds will be removed from the index which follow the direct reinvestment approach and set to 0 in the indices that use the periodic reinvestment approach. The weight of the bonds will be equally redistributed among the other index members.

Adjustments:

Name Coupon Maturity Index Amount Effective Date Price
CPI PROPERTY GROUP SA 4.375 31.12.2049 .SOLEUHYCPR/ .SOLEUHYC/ .SOLEHYNO/ .SOLEHYDK/ .SOLEHYSE/ .SOLEUSHY/ .SOLEHYSRC 213205000 27.01.2021 107

For more details on the index composition and the adjustment rules applicable to an index, please refer to the respective index detail page on this website.