Exchange Fund Bills Tender Results
Tender date
:
23 February 2021
Paper on offer
:
EF Bills
Issue number
:
Q2108
Issue date
:
24 February
2021
Maturity date
:
26 May
2021
Amount applied
:
HK$161,588
MN
Amount allotted
:
HK$46,321
MN
Average yield accepted
:
0. 05
PCT
Highest yield accepted
:
0. 06
PCT
Pro rata ratio*
:
About 5
PCT
Average tender yield
:
0. 06
PCT
****************************
Tender date
:
23 February 2021
Paper on offer
:
EF
Bills
Issue number
:
H2137
Issue date
:
24 February 2021
Maturity date
:
25 August 2021
Amount applied
:
HK$44,190 MN
Amount allotted
:
HK$13,000 MN
Average yield accepted
:
0. 05 PCT
Highest yield accepted
:
0.
06 PCT
Pro rata ratio*
:
About 49
PCT
Average tender yield
:
0. 07
PCT
*“Pro rata ratio” refers to the average percentage of
allotment with respect to each tender participant’s tendered amount at
the “highest yield accepted” level.
--------------------------------------------------------- Hong Kong
Monetary Authority Tenders to be held in the week beginning – 1 March
2021 : Tender date : 02 March 2021 Paper on offer : EF Bills Issue
number : Q2109 Issue date : 03 March 2021 Maturity date : 02 June 2021
Tenor : 91 Days Amount on offer : HK$51,332 MN
**************************** Tender date : 02 March 2021 Paper on
offer : EF Bills Issue number : H2138 Issue date : 03 March 2021
Maturity date : 01 September 2021 Tenor : 182 Days Amount on offer :
HK$12,000 MN End/Tuesday, 23 February, 2021 NNNN