Bolsa de Valores de Mocambique
ARCO 100,00
ARKO SEGUROS 1.250,00
CDM 68,00
CMH 2.800,00
EMOSE 15,00
HCB 1,56
PAYTECH 10,00
REVIMO 12.750,00
TOUCH 3,20
ZERO 20,00
2BUSINESS 1,00
BAYPORT 2019 Série I 20,0000%
BAYPORT 2019 Série II 19,0000%
BAYPORT 2020 Série I 16,0000%
BAYPORT 2020 Série II 19,3800%
BAYPORT 2021 Série I 19,9100%
BAYPORT 2021 Série II 17,9000%
BAYPORT 2021 Série III 17,9000%
BAYPORT 2021 Série IV 17,8800%
CM 2017 19,0000%
VISABEIRA 2020 23,0000%
OT 2005 S2 8,0000%
OT 2017 S6 18,6250%
OT 2017 S7 18,6250%
OT 2019 S1 14,9375%
OT 2019 S4 14,9375%
OT 2019 S7 17,4375%
OT 2019 S8 10,0000%
OT Fornecedores 2019 4,0625%
OT 2020 S1 14,9375%
OT 2020 S2 14,8750%
OT 2020 S3 14,9375%
OT 2020 S4 14,9375%
OT 2020 S5 16,3125%
OT 2020 S6 10,0000%
OT 2020 S7 16,9375%
OT 2020 S8 14,9375%
OT 2020 S9 14,9375%
OT 2020 S10 14,9375%
OT 2020 S11 7,1875%
OT 2021 S1 14,9375%
OT 2021 S2 14,6250%
OT 2021 S3 14,6875%
OT 2021 S4 15,8125%
OT 2021 S5 16,1875%
OT 2021 S6 14,2500%
OT 2021 S7 14,2500%
OT 2021 S8 14,0000%
OT 2021 S9 15,6875%
OT 2021 S10 14,5000%
OT 2021 S11 7,1875%
OT 2022 S1 14,5000%
OT 2022 S2 14,0000%
OT 2022 S3 15,2500%
OT 2022 S4 14,2500%
OT 2022 S5 17,0000%
OT 2022 S6 17,0000%

Details

From November 26 to December 6, 2011, the period of subscription of the loan "Treasury Bonds 2011" amounting to 2,618,617,000 MT (two thousand, six hundred and eighteen million, six hundred and seventeen thousand Meticais), represented by 26,186,170 (twenty-six million one hundred and eighty-six thousand, one hundred and seventy) bonds issued in national currency, with a nominal value of 100.00 MT (one hundred Meticais) each.

The "Treasury Bonds-2011" are represented by book-entry securities, so there is no place for the physical issuance of securities, and their issuance and ownership are evidenced through the registration in the account of registration of issuance and accounts of registration of ownership.

This transaction represents, until the date of December 7, 2011, the largest transaction on the Mozambique Stock Exchange.

The bonds were subscribed by the general public through financial institutions authorized to carry out the activity of intermediation in securities.

The interest rate is calculated at the end of every five semesters, and at the end of each half-year there will be interest for interim interest payments.

The bonds were listed on the Stock Exchange of Mozambique on December 7, 2011.