| |
| JMRC Bonds Issued During 2009 |
S.No |
Issue No |
Custodian |
Nominal Amount Sold |
Interest Rate % |
Issue Date |
Maturity Date |
Interest Payment Dates Redemption |
Coverage Rate % |
111 |
88 |
Central Bank Of Jordan |
4,000,000 |
6.225 |
2009/01/25 |
2010/01/25 |
Interest and Nominal Amount Will Be Paid at Maturity |
200% |
112 |
89 |
Central Bank Of Jordan |
9,750,000 |
5.803 |
2009/02/25 |
2010/02/25 |
Interest and Nominal Amount Will Be Paid at Maturity |
126% |
113 |
90 |
Central Bank Of Jordan |
3,000,000 |
5.850 |
2009/02/26 |
2010/02/25 |
Interest and Nominal Amount Will Be Paid at Maturity |
100% |
114 |
91 |
Central Bank Of Jordan |
8,000,000 |
4.000 |
2009/04/27 |
2010/04/27 |
Interest and Nominal Amount Will Be Paid at Maturity |
100% |
115 |
92 |
Central Bank Of Jordan |
5,000,000 |
4.130 |
2009/05/10 |
2010/05/10 |
Interest and Nominal Amount Will Be Paid at Maturity |
235% |
116 |
93 |
Central Bank Of Jordan |
17,000,000 |
5.500 |
2009/06/22 |
2012/06/22 |
(2)Equal Installments Every (6) Months on (22/12) and (22/6) . |
191% |
117 |
94 |
Central Bank Of Jordan |
10,000,000 |
4.341 |
2009/06/29 |
2010/06/29 |
Interest and Nominal Amount Will Be Paid at Maturity |
298% |
118 |
95 |
Central Bank Of Jordan |
4,000,000 |
4.875 |
2009/07/06 |
2011/07/06 |
(2)Equal Installments Every (6) Months on (1/6) and (7/6) |
100% |
119 |
96 |
Central Bank Of Jordan |
3,000,000 |
4.489 |
2009/09/13 |
2010/09/13 |
Interest and Nominal Amount Will Be Paid at Maturity |
497% |
120 |
97 |
Central Bank Of Jordan |
5,000,000 |
4.394 |
2009/10/19 |
2010/10/19 |
Interest and Nominal Amount Will Be Paid at Maturity |
350% |
Total |
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