Settlement of Exchange of Outstanding Eligible Sri Lanka Development Bonds (SLDBs) for Five (5) New LKR Treasury Bonds pursuant to the Domestic Debt Optimisation Programme (DDO)

Further to the SLDB Exchange Memorandum dated 04 July 2023 (the "Exchange Memorandum") published by the Ministry of Finance, Economic Stabilization and National Policies and subsequent announcement of results for the SLDB Invitation to Exchange (as defined in the Exchange Memorandum), outstanding eligible SLDBs (the Eligible Bonds) were converted into five (5) new variable coupon (SLFR* + 1.00%) New Treasury bonds denominated in LKR and settled on 15.08.2023 as follows:

ISIN**
LKJ00225G157
LKJ00427G159
LKJ00629G150
LKJ00831G152
LKJ01033G154
Series
1.00% 2025‘A’ 1.00% 2027‘A’ 1.00% 2029‘A’ 1.00% 2031‘A’ 1.00% 2033‘A’
Date of issue
15-July-2023 15-July-2023 15-July-2023 15-July-2023 15-July-2023
Date of maturity
15-July-2025 15-July-2027 15-July-2029 15-July-2031 15-July-2033
Amount allocated (Rs. mn)
50, 444.3 50, 444.3 50, 444.3 50, 444.3 50, 444.3

*"SLFR" in relation to the calculation of the coupon rate on any New LKR Treasury bond means, the 6-month historical average calculated based on the Standing Lending Facility Rate published by the Central Bank of Sri Lanka, on the date which is 30 days before the relevant interest payment date for such New LKR Treasury bond (or, if such calculation date is not a business day, the immediately following business day).

** International Securities Identification Number

 

Published Date: 

Tuesday, August 15, 2023