| |
| JMRC Bonds Issued During 2010 |
S.No |
Issue No |
Custodian |
Nominal Amount Sold |
Interest Rate % |
Issue Date |
Maturity Date |
Interest Payment Dates Redemption |
Coverage Rate % |
121 |
98 |
Central Bank Of Jordan |
10,000,000 |
5.108 |
2010/02/18 |
2013/02/18 |
(2)Equal Installments Every (6) Months on (08/18) and (02/18) |
205% |
122 |
99 |
Central Bank Of Jordan |
8,750,000 |
3.153 |
2010/02/25 |
2011/02/24 |
Interest and Nominal Amount Will Be Paid at Maturity |
100% |
123 |
100 |
Central Bank Of Jordan |
5,000,000 |
3.153 |
2010/03/01 |
2011/03/01 |
Interest and Nominal Amount Will Be Paid at Maturity |
100% |
124 |
101 |
Central Bank Of Jordan |
3,000,000 |
5.422 |
2010/04/12 |
2015/04/12 |
(2)Equal Installments Every (6) Months on (10/12) and (04/12) |
120% |
125 |
102 |
Central Bank Of Jordan |
8,000,000 |
3.050 |
2010/04/27 |
2011/04/27 |
Interest and Nominal Amount Will Be Paid at Maturity |
100% |
126 |
103 |
Central Bank Of Jordan |
5,000,000 |
3.250 |
2010/05/10 |
2011/05/10 |
Interest and Nominal Amount Will Be Paid at Maturity |
315% |
127 |
104 |
Central Bank Of Jordan |
5,000,000 |
3.690 |
2010/05/20 |
2011/05/19 |
Interest and Nominal Amount Will Be Paid at Maturity |
195% |
128 |
105 |
Central Bank Of Jordan |
7,000,000 |
4.997 |
2010/06/13 |
2012/06/13 |
(2)Equal Installments Every (6) Months on (12/13) and (06/13) |
194% |
129 |
106 |
Central Bank Of Jordan |
3,000,000 |
4,100 |
2010/07/28 |
2011/07/28 |
Interest and Nominal Amount Will Be Paid at Maturity |
100% |
130 |
107 |
Central Bank Of Jordan |
4,000,000 |
3,076 |
2010/10/19 |
2011/10/19 |
Interest and Nominal Amount Will Be Paid at Maturity |
294% |
131 |
108 |
Central Bank Of Jordan |
15,000,000 |
4.955 |
2010/11/10 |
2013/11/10 |
(2)Equal Installments Every (6) Months on (11/10) and (5/10) |
100% |
Total |
|
|
|