Treasury Bond Auction (29 September 2021) 10-Year Fixed Rate

24th September, 2021

Bonds, Government Securities

ISIN: TZ1996104059

1.       Issuer

United republic of Tanzania

2.       Amount

Competitive          Non – Competitive

TZS 133.37 Billion     TZS 0.60 Billion

3.       Auction Date

Wednesday 29 September 2021

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.

5.       Price per TZS 100

To be quoted at a discount to four (4) decimal places.

6.       Minimum bid size

TZS 1,000,000 in multiples of TZS 100,000

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.

8.       Settlement Date

 30 September 2021 (T+1)

9.       Coupon

Fixed at 11.44% p.a.

10.   Redemption Date

30 September, 2031

11.   Tax

Interest Income Is Exempted from withholding Tax.

12.   Currency

13.  Day count convention

14.  Trading


 15. Interest Payment Date

Tanzania Shillings (TZS)


Secondary trading in multiples of TZS 100,000 to commence on Friday 01 October 2026


First Interest Date: 31 March

Second Interest Date: 30 September

Treasury Bonds Issuance Calendar For The First Half Of The Financial Year 2024/25