You are here

MB Builder 13 June 15/17 Compound Fixed Rate 2.00%

MB Builder 13 June 15/17 Compound Fixed Rate 2.00%
Listing Exchange: 
CSE
Status: 
Delisted
Industry: 
Government Debt
Symbol: 
MBM.DB.C
CSE Index: 
Currency: 

Manitoba Builder Bonds ("Builder Bonds") are issued by the Province of Manitoba, and are direct obligations of the Province of Manitoba. The interest rate for the Floating Rate Bonds is announced annually by the Minister of Finance for the Province of Manitoba in the month of May each year, and that rate becomes effective commencing June 15 of that year.

You are here

MB Builder 13 June 15/17 Compound Fixed Rate 2.00% (MBM.DB.C)

SEDAR Information

Company Info

Address
Province of Manitoba Dept of Finance, 450 Broadway
Winnipeg, MB R3C 0V9
Canada
Phone
1-204-945-6637
Fax
1-204-948-2569
Email
listings@cnsx.ca
Listing date
Friday, June 15, 2012

Capitalization

Issued & Outstanding: 
0
Reserved for Issuance: 
0

Bond information

Bond Maturity: 
Thursday, June 15, 2017
Bond Dated: 
Friday, June 15, 2012
Bond Redemption: 
Not redeemable prior to maturity
Bond Frequency: 
Annual
Bond Clearing and Settlement: 
CDS
Bond Board Lot: 
$100 face value

News Releases

Bulletins

09/06/2017

2017-0610 - Province of Manitoba Bonds

June 9, 2016

Manitoba Finance announced the interest rate for outstanding floating rate Builder Bonds and Hydro Bonds throughout the province. 

The interest rate for all outstanding floating rate bonds, which are adjustable and redeemable annually, has been set at 0.75 percent effective June 15, 2017.

The following bonds will be delisted upon maturation June 15, 2017.  All trades June 13, 14 and 15 will be for settlement on June 15: