Announcement [2009] No. 4 of the Ministry of Finance
财政部公告2009年第4号
Promulgating Institution: Ministry of Finance
Promulgating Date: 02/18/2009
Effective Date: 02/18/2009
颁布机关: 财政部
颁布时间: 02/18/2009
实施时间: 02/18/2009
The Ministry of Finance has decided to issue the 2009 book-entry treasury bonds (issue No. 2) (hereinafter referred to as the "Treasury Bonds") in accordance with relevant regulations of the State on the issuance of treasury bonds. The relevant issues are hereby announced as follows:
根据国家国债发行的有关规定,财政部决定发行2009年记账式(二期)国债(以下简称本期国债),现将有关事项公告如下:
1. The Treasury Bonds are issued to investors of all categories in the society through the national inter-bank bond market and the stock exchange markets (hereinafter referred to as the "Exchanges").
一、本期国债通过全国银行间债券市场和证券交易所市场(以下简称各交易场所)面向社会各类投资者发行。
2. The Treasury Bonds are planned to issue RMB22 billion. The actually issued par value of the Treasury Bonds is RMB22 billion.
二、本期国债计划发行220亿元,实际发行面值金额为220亿元。
3. The Treasury Bonds have a maturity of 20 years with a stated annual interest rate of 3.86 percent determined through bidding. The issuance period shall be from February 19 to February 23, 2009, and interest accrual shall begin with the commencement date of issuance. The trading of the Treasury Bonds shall commence on February 25 at all the Exchanges in the modes of bond sale and repurchase.
三、本期国债期限20年,经投标确定的票面年利率为3.86%,2009年2月19日开始发行并计息,2月23日发行结束,2月25日起,本期国债在各交易场所以现券买卖和回购的方式上市交易。
4. The Treasury Bonds are coupon bonds with fixed interest rate, and the interest is paid semiannually on February 19 and August 19 (postponed in case of festivals and holidays, hereinafter the same), with the principals repaid and the interest of the last year paid on February 19, 2029.
四、本期国债为固定利率附息债,每半年付息一次,利息支付日为每年2月19日、8月19日(节假日顺延,下同),2029年2月19日偿还本金并支付最后一次利息。
5. The Treasury Bonds shall be distributed to investors of all categories that have opened stock and fund accounts at China Securities Depository and Clearing Co., Ltd. and bond accounts at China Government Securities Depository Trust & Clearing Co., Ltd. by means of floor trading and signing distribution contracts off floor during the issuance period from February 19 to February 23, 2009. The distribution price of the Treasury Bonds which are distributed through the Exchanges is determined by underwriting agencies in accordance with market conditions.
This Announcement is hereby issued.
Ministry of Finance of the People's Republic of China
February 18, 2009
五、本期国债在2009年2月19日至2月23日的发行期内,采取场内挂牌和场外签订分销合同的方式分销,分销对象为在中国证券登记结算有限责任公司开立股票和基金账户及在中央国债登记结算有限责任公司开立债券账户的各类投资者。通过各交易场所分销部分,由承销机构根据市场情况自定价格。
特此公告。
中华人民共和国财政部
二OO九年二月十八日