RESULT OF AUCTION

Applications were opened on Wednesday, 13th January, 2021 for $2,200,000,000.00 of the GOVERNMENT OF JAMAICA TREASURY BILLS to be settled on Friday, 15th January, 2021. The results are as follows:

ISINs:

JMG202100012

JMG202100020

JMG202100038

Issue Date:

15th January 2021

15th January 2021

15th January 2021

Maturity Date:

16th April 2021

16th July 2021

15th October, 2021

OFFER:

$700,000,000.00

$700,000,000.00

$800,000,000.00

Amount Applied For:

$2,331,034,300.00

$2,385,317,300.00

$2,404,604,700.00

Amount Allotted:

$700,000,000.00

$700,000,000.00

$800,000,000.00

Average Yield:

0.74227%

0.80556%

0.98715%

Full Allotment (price):

99.82578 - 99.81336

99.62742 - 99.58043

99.33135 - 99.29447

Full Allotment (yield):

0.70000% - 0.75000%

0.75000% - 0.84500%

0.90000% - 0.95000%

Percentage Partial Bid Allotment:

69.65000%

86.57113%

88.90584%

Partial Bid Allotment (price):

99.80591

99.57894

99.25761

Partial Bid Allotment (yield):

0.78000%

0.84800%

1.00000%

Total nominal amount of Government of Jamaica Treasury Bills outstanding will remain at $10,300,000,000.00 at settlement date, Friday, 15th January, 2021.

The next auction of Government of Jamaica Treasury Bills is scheduled for Wednesday, 10th February, 2021.

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Bank of Jamaica published this content on 14 January 2021 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 14 January 2021 14:11:03 UTC