
Re-Opening of 15-Year Fixed Rate Treasury Bond (02 February 2022)
ISIN: TZ1996103952
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 1. Issuer  | 
 United republic of Tanzania  | 
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 2. Amount  | 
 Competitive Non – Competitive TZS 136.0 Billion TZS 0.59 Billion  | 
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 3. Auction Date  | 
 02 February 2022  | 
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 4. Procedure for Bidding  | 
 Bids will be submitted online through Central Depository Participants and the process will be closed at 11:00 A.M on the auction date.  | 
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 5. Price per TZS 100  | 
 To be quoted at a discount to four (4) decimal places.  | 
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 6. Minimum bid size  | 
 TZS 1,000,000 in multiples of TZS 100,000  | 
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 7. Auction Results  | 
 Auction results shall be made available on the Bank’s Website and at the Depository Participant’s offices immediately after the auction.  | 
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 8. Settlement Date  | 
 03 February 2022 (T+1)  | 
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 9. Coupon  | 
 Fixed at 15.95% p.a.  | 
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 10. Redemption Date  | 
 03 June 2036  | 
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 11. Tax  | 
 Interest Income Is Exempted from withholding Tax.  | 
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 12. Currency 13. Day count convention 14. Trading 
 15. Interest Payment Date  | 
 Tanzania Shillings (TZS) Actual/365 Secondary trading in multiples of TZS 100,000 to commence on Friday 21 January 2022 
 Semi-annually from issue date First Interest Date: 03 June Second Interest Date: 02 December  | 
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 16. Defaulters  | 
 Successful bidders who fail to honor their obligations on time will be disqualified from participating in the subsequent auctions for a minimum period of one (1) month  | 
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 17. Key Note  | 
 The bond price should include the Accrued Interest of TZS 2.3301 per TZS 100. For example: Based on the yield to Maturity (YTM) of 13.6116%, Clean Price is TZS 99.3042, Dirty Price is TZS 101.6343 (i.e Clean Price (TZS 99.3042) plus Accrued Interest (TZS 2.3301))  |