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Note: If the Coupon Payment Date or Maturity Date is not a Business Day, the Note: If the Coupon Payment Date or Maturity Date is not a Business Day, the
coupon or maturity amount will be credited on the next succeeding Business Day, coupon or maturity amount will be credited on the next succeeding Business Day,
without adjustment in the amount of interest to be paid (per Notice of Offering dated without adjustment in the amount of interest to be paid (per Notice of Offering dated
24 January 2020) 24 January 2020)
Retail Treasury Bonds Tranche 23 Retail Treasury Bonds Tranche 23
3-year RTBs due 2023 3-year RTBs due 2023
PIID0323B101 PIID0323B101
28 January to 6 February 2020 28 January to 6 February 2020
Note: If the Coupon Payment Date or Maturity Date is not a Business Day, the Note: If the Coupon Payment Date or Maturity Date is not a Business Day, the
coupon or maturity amount will be credited on the next succeeding Business Day, coupon or maturity amount will be credited on the next succeeding Business Day,
without adjustment in the amount of interest to be paid (per Notice of Offering dated without adjustment in the amount of interest to be paid (per Notice of Offering dated
24 January 2020) 24 January 2020)
Retail Treasury Bonds Tranche 23 Retail Treasury Bonds Tranche 23
3-year RTBs due 2023 3-year RTBs due 2023
PIID0323B101 PIID0323B101
28 January to 6 February 2020 28 January to 6 February 2020
Note: If the Coupon Payment Date or Maturity Date is not a Business Day, the Note: If the Coupon Payment Date or Maturity Date is not a Business Day, the
coupon or maturity amount will be credited on the next succeeding Business Day, coupon or maturity amount will be credited on the next succeeding Business Day,
without adjustment in the amount of interest to be paid (per Notice of Offering dated without adjustment in the amount of interest to be paid (per Notice of Offering dated
24 January 2020) 24 January 2020)
Retail Treasury Bonds Tranche 23 Retail Treasury Bonds Tranche 23
3-year RTBs due 2023 3-year RTBs due 2023
PIID0323B101 PIID0323B101
28 January to 6 February 2020 28 January to 6 February 2020
Note: If the Coupon Payment Date or Maturity Date is not a Business Day, the Note: If the Coupon Payment Date or Maturity Date is not a Business Day, the
coupon or maturity amount will be credited on the next succeeding Business Day, coupon or maturity amount will be credited on the next succeeding Business Day,
without adjustment in the amount of interest to be paid (per Notice of Offering dated without adjustment in the amount of interest to be paid (per Notice of Offering dated
24 January 2020) 24 January 2020)
Retail Treasury Bonds Tranche 23 Retail Treasury Bonds Tranche 23
3-year RTBs due 2023 3-year RTBs due 2023
PIID0323B101 PIID0323B101
28 January to 6 February 2020 28 January to 6 February 2020
Note: If the Coupon Payment Date or Maturity Date is not a Business Day, the Note: If the Coupon Payment Date or Maturity Date is not a Business Day, the
coupon or maturity amount will be credited on the next succeeding Business Day, coupon or maturity amount will be credited on the next succeeding Business Day,
without adjustment in the amount of interest to be paid (per Notice of Offering dated without adjustment in the amount of interest to be paid (per Notice of Offering dated
24 January 2020) 24 January 2020)
Retail Treasury Bonds Tranche 23 Retail Treasury Bonds Tranche 23
3-year RTBs due 2023 3-year RTBs due 2023
PIID0323B101 PIID0323B101
28 January to 6 February 2020 28 January to 6 February 2020
Note: If the Coupon Payment Date or Maturity Date is not a Business Day, the Note: If the Coupon Payment Date or Maturity Date is not a Business Day, the
coupon or maturity amount will be credited on the next succeeding Business Day, coupon or maturity amount will be credited on the next succeeding Business Day,
without adjustment in the amount of interest to be paid (per Notice of Offering dated without adjustment in the amount of interest to be paid (per Notice of Offering dated
24 January 2020) 24 January 2020)
Retail Treasury Bonds Tranche 23 Retail Treasury Bonds Tranche 23
3-year RTBs due 2023 3-year RTBs due 2023
PIID0323B101 PIID0323B101
28 January to 6 February 2020 28 January to 6 February 2020
Note: If the Coupon Payment Date or Maturity Date is not a Business Day, the Note: If the Coupon Payment Date or Maturity Date is not a Business Day, the
coupon or maturity amount will be credited on the next succeeding Business Day, coupon or maturity amount will be credited on the next succeeding Business Day,
without adjustment in the amount of interest to be paid (per Notice of Offering dated without adjustment in the amount of interest to be paid (per Notice of Offering dated
24 January 2020) 24 January 2020)
Retail Treasury Bonds Tranche 23 Retail Treasury Bonds Tranche 23
3-year RTBs due 2023 3-year RTBs due 2023
PIID0323B101 PIID0323B101
28 January to 6 February 2020 28 January to 6 February 2020
Note: If the Coupon Payment Date or Maturity Date is not a Business Day, the Note: If the Coupon Payment Date or Maturity Date is not a Business Day, the
coupon or maturity amount will be credited on the next succeeding Business Day, coupon or maturity amount will be credited on the next succeeding Business Day,
without adjustment in the amount of interest to be paid (per Notice of Offering dated without adjustment in the amount of interest to be paid (per Notice of Offering dated
24 January 2020) 24 January 2020)