Brazil - Par Z Bond
Article Index
Brazil Par Bonds (1994)
Note: Eligible for tendering in privatisation programme at 75% of face value.
Tranche Z-U was never issued as subscriptions failed to reach the minimum amount of USD 100Mil.
Tranche P-A-L-4 was never issued.
Issuer:
|
Republica Federativa do Brasilu
|
Guarantor:
|
None
|
Issue Size:
|
USD 100,491,104,000 (including phase-in tranches)
|
Maturity:
|
April 15, 2024
|
Interest Rate:
|
4% .............................to April 95
4 1/4% .......................to April 96
5% .............................to April 97
5 1/4% .......................to April 98
5 1/2% .......................to April 99
5 3/4% .......................to April 00
6% .............................to Maturity
|
Coupon Frequency:
|
Semi-annual
|
Coupon Dates:
|
April 15 & October 15
|
Day Count:
|
30/360
|
Issue Date:
|
April 15, 1994
|
Amortisation:
|
None, bullet at maturity
|
Options:
|
Callable at par plus accrued interest on coupon dates if no default
|
Currency:
|
US Dollar only
|
Form:
|
Bearer and registered securities
|
Denominations:
|
$250,000 and integral multiples of $1,000
|
Credit Rating:
|
not rated
|
Principal Collateral:
|
30-year zero-coupon US Treasury bonds
|
Interest Payment Collateral:
|
12-month rolling interest payment guarantee
|
Tranche Z-L
Tranche Size: | USD 344,316,000 |
Principal Collateral: | Full |
Interest Guarantee: | Full |
Conversion into series Y: | n/a |
Conversion into series Z: | n/a |
ISIN: | XS0049985533 |
CUSIP: | TT3163181 |
Common Code: | 004998553 |
Valoren: | 227486 |
Wertpapier/Austrian: | 414201 |
Tranche P-A-L-3
Tranche Size: | USD 242,573,000 |
Principal Collateral: | Delivered October 15, 1995 (becomes Y-L-4) |
Interest Guarantee: | Delivered April 15, 1996 |
Conversion into series Y: | October 15, 1995 |
Conversion into series Z: | April 15, 1996 |
ISIN: | XS0049988982 |
CUSIP: | TT3182355 |
Common Code: | 004998898 |
Valoren: | 232078 |
Wertpapier/Austrian: | 414039 |
Tranche P-B-L-3
Tranche Size: | USD 55,995,000 |
Principal Collateral: | Delivered October 15, 1995 |
Interest Guarantee: | Delivered October 15, 1995 |
Conversion into series Y: | n/a |
Conversion into series Z: | October 15, 1995 |
ISIN: | XS0049990616 |
CUSIP: | TT3179807 |
Common Code: | 004999061 |
Valoren: | 232090 |
Wertpapier/Austrian: | 414205 |