The Mozambique Stock Exchange announces that on July 01, 2022 will be made the payment of the payment of interest on the 3rd Coupon of Treasury Bonds 2020 - 11th Series will be made on July 1st, 2022, paying per bond a gross interest of 2.71875MZN, resulting from the interest rate of 5.4375%, subject to withholding tax.
Click here to see the Trading Bulletim.