Issue date: 
Wednesday, 24 February 2021

The Treasury has announced details of the regular New Zealand Government Bond (NZGB) tender schedule for the month of March 2021. Formal confirmation of each tender occurs on announcement dates.

Tender  Bond Maturity  Volume ($m) Announcement Tender Settlement
758 Nominal 15-Apr-25 200 03-Mar-21 04-Mar-21 9-Mar-21
758 Nominal 20-Apr-29 150 03-Mar-21 04-Mar-21 9-Mar-21
758 Nominal 14-Apr-33 100 03-Mar-21 04-Mar-21 9-Mar-21
758 Inflation-indexed 20-Sep-40 50 03-Mar-21 04-Mar-21 9-Mar-21
759 Nominal 15-May-24 200 10-Mar-21 11-Mar-21 16-Mar-21
759 Nominal 15-Apr-27 150 10-Mar-21 11-Mar-21 16-Mar-21
759 Nominal 15-May-41 100 10-Mar-21 11-Mar-21 16-Mar-21
760 Nominal 15-Apr-25 200 17-Mar-21 18-Mar-21 23-Mar-21
760 Nominal 20-Apr-29 150 17-Mar-21 18-Mar-21 23-Mar-21
760 Nominal 14-Apr-33 100 17-Mar-21 18-Mar-21 23-Mar-21
760 Inflation-indexed 20-Sep-40 50 17-Mar-21 18-Mar-21 23-Mar-21
761 Nominal 15-May-24 200 24-Mar-21 25-Mar-21 30-Mar-21
761 Nominal 15-Apr-27 150 24-Mar-21 25-Mar-21 30-Mar-21
761 Nominal 15-May-41 100 24-Mar-21 25-Mar-21 30-Mar-21

 

Tenders will be governed by the official Operating Rules and Guidelines (PDF 493KB). The preference will be to fill tenders according to volumes announced in the tender schedule, to the extent possible.

ENDS

Treasury Contacts

Kim Martin | Acting Director, Capital Markets
Tel: +64 4 890 7274

Matthew Collin | Head of Portfolio Management 
Tel: +64 4 917 6015

Last updated: 
Wednesday, 24 February 2021