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Exchange Fund Bills tender results
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The following is issued on behalf of the Hong Kong Monetary Authority:

     Exchange Fund Bills tender results: 
 
Tender date : June 29, 2021
Paper on offer : EF Bills
Issue number : Q2126
Issue date : June 30, 2021
Maturity date : September 29, 2021
Amount applied : HK$179,210 MN
Amount allotted : HK$57,378 MN
Average yield accepted : 0.01 PCT
Highest yield accepted : 0.01 PCT
Pro rata ratio* : About 70 PCT
Average tender yield : 0.02 PCT
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Tender date : June 29, 2021
Paper on offer : EF Bills
Issue number : H2155
Issue date : June 30, 2021
Maturity date : December 29, 2021
Amount applied : HK$117,800 MN
Amount allotted : HK$18,200 MN
Average yield accepted : 0.02 PCT
Highest yield accepted : 0.03 PCT
Pro rata ratio* : About 12 PCT
Average tender yield : 0.04 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.
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     Hong Kong Monetary Authority tenders to be held in the week beginning July 5, 2021 :
 
Tender date : July 6, 2021
Paper on offer : EF Bills
Issue number : Q2127
Issue date : July 7, 2021
Maturity date : October 6, 2021
Tenor : 91 Days
Amount on offer : HK$59,338 MN
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Tender date : July 6, 2021
Paper on offer : EF Bills
Issue number : H2156
Issue date : July 7, 2021
Maturity date : January 5, 2022
Tenor : 182 Days
Amount on offer : HK$18,000 MN
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Tender date : July 6, 2021
Paper on offer : EF Bills
Issue number : Y2191
Issue date : July 7, 2021
Maturity date : July 6, 2022
Tenor : 364 Days
Amount on offer : HK$5,000 MN

 
Ends/Tuesday, June 29, 2021
Issued at HKT 15:00
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