Intellasia.net, 19 Feb 2011
Following are terms and conditions of a bond to be issued on MARCH 01, 2011
Borrower Singapore government
Issue Amount S$1100 Million
Issue Code NZ10100F
Coupon 2.875 percent
Issue Date March 01, 2011
Maturity Date September 01, 2030
Issue yield and price To be determined at auction
Coupon Payment Dates 01 September and 01 March
Next Coupon Date 01 September 2011
Auction Date February 24, 2011
Method of Sale Uniform-Price Auction
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