Notices

BANK OF JAMAICA FIXED RATE CERTIFICATE OF DEPOSIT: 2.20% FR 2022A

ISIN: JMB202100153

ISSUERBANK OF JAMAICA
  
AUCTION DATEMonday, 12 April 2021
  
OFFER VOLUMEJMD 10,000,000,000.00 JMD 9,500,000,000.00 allocated on Competitive basis JMD 500,000,000.00 allocated on Non-competitive basis
  
NON-COMPETITIVE BIDSAll bids from Public Sector Entities must be submitted as non-competitive bids. Bids allotted on a non-competitive basis will be settled at the weighted average price for the successfully allotted competitive bids.   All bids from entities other than Public Sector entities must be submitted on a competitive basis.
  
ISSUE PRICETo be determined through competitive bidding.
  
ISSUE/SETTLEMENT DATE14 April 2021
  
MATURITY DATE14 April 2022
  
TENOR365-days
  
COUPONFixed at 2.20% per annum.
  
INTEREST PAYMENTThe first installment of interest will become due and payable on 14 July 2021. Thereafter, the quarterly interest payment becomes due on 14 October, 14 January until maturity on 14 April 2022.
  
BUSINESS DAYIn the event that a payment day occurs on a day other than a business day, such payments will be made on the next business day.
  
TAXATIONInterest on this instrument is subject to the withholding of taxes.
  
APPLICATIONSApplications will be received via the JamClear Central Securities Depository [JamClear-CSD®] between the hours of 9:30 am to 11:30 am on 12 April 2021. Settlement will be effected via accounts in the JamClear® Real-time Gross Settlement system [JamClear®-RTGS] at the Bank of Jamaica on 14 April 2021.
  
ENTITLEMENTSInterest and principal payments will be effected through accounts housed in the JamClear RTGS® on the payment date.
  
REGISTRATION OF SECURITIESIssued and registered in the JamClear®-CSD, which is the only legal registrar for the securities issued.
  
MINIMUM BID SIZEThe minimum value for applications is JMD One Million Dollars
($1, 000, 000.00)

Post Author: Editorial Team