ESG Relevance
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01Ratings
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02Rating Actions
03Insights
04Sector Outlooks
05Securities and Obligations
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Issuer: Czech Republic
Debt Level: senior unsecured
Issue: EUR 500 mln 0% bond/note 27-Jul-2027
Debt Level: senior unsecured
Issue: EUR 500 mln 0% bond/note 27-Jul-2027
14-Feb-2025
AA-
Affirmed
Long Term Rating
AA-
Affirmed
Long Term Rating
Country: Czech Republic
Sectors: Sovereigns
Disclosures: EU Issued, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
Sectors: Sovereigns
Disclosures: EU Issued, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
senior unsecured; bond/note
ISIN: CZ0001006043 (Public)
ISIN: CZ0001006043 (Public)
Maturity Date: 27-Jul-2027
Currency: EUR
Amount: 500,000,000
Placement: Public
Currency: EUR
Amount: 500,000,000
Placement: Public
Issuer: Czech Republic
Debt Level: senior unsecured
Issue: JPY 30 bln 2.75% bond/note 16-Jan-2036
Debt Level: senior unsecured
Issue: JPY 30 bln 2.75% bond/note 16-Jan-2036
14-Feb-2025
AA-
Affirmed
Long Term Rating
AA-
Affirmed
Long Term Rating
Country: Czech Republic
Sectors: Sovereigns
Disclosures: EU Issued, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
Sectors: Sovereigns
Disclosures: EU Issued, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
senior unsecured; bond/note
ISIN: XS0240954361 (Public)
ISIN: XS0240954361 (Public)
Maturity Date: 16-Jan-2036
Currency: JPY
Amount: 30,000,000,000
Coupon Rate: 2.75%
Placement: Public
Currency: JPY
Amount: 30,000,000,000
Coupon Rate: 2.75%
Placement: Public
Issuer: Czech Republic
Debt Level: Senior Unsecured-Local currency
Issue: CZK 80 bln 4.2% bond/note 04-Dec-2036
Debt Level: Senior Unsecured-Local currency
Issue: CZK 80 bln 4.2% bond/note 04-Dec-2036
14-Feb-2025
AA-
Affirmed
Long Term Rating
AA-
Affirmed
Long Term Rating
Country: Czech Republic
Sectors: Sovereigns
Disclosures: EU Issued, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
Sectors: Sovereigns
Disclosures: EU Issued, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
Senior Unsecured-Local currency ; bond/note
ISIN: CZ0001001796 (Public)
ISIN: CZ0001001796 (Public)
Maturity Date: 04-Dec-2036
Currency: CZK
Amount: 80,000,000,000
Coupon Rate: 4.2%
Placement: Public
Currency: CZK
Amount: 80,000,000,000
Coupon Rate: 4.2%
Placement: Public
Issuer: Czech Republic
Debt Level: Senior Unsecured-Local currency
Issue: CZK 150 bln 1% bond/note 26-Jun-2026
Debt Level: Senior Unsecured-Local currency
Issue: CZK 150 bln 1% bond/note 26-Jun-2026
14-Feb-2025
AA-
Affirmed
Long Term Rating
AA-
Affirmed
Long Term Rating
Country: Czech Republic
Sectors: Sovereigns
Disclosures: EU Issued, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
Sectors: Sovereigns
Disclosures: EU Issued, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
Senior Unsecured-Local currency ; bond/note
ISIN: CZ0001004469 (Public)
ISIN: CZ0001004469 (Public)
Maturity Date: 26-Jun-2026
Currency: CZK
Amount: 150,000,000,000
Coupon Rate: 1%
Placement: Public
Currency: CZK
Amount: 150,000,000,000
Coupon Rate: 1%
Placement: Public
Issuer: Czech Republic
Debt Level: Senior Unsecured-Local currency
Issue: CZK 153.51 bln 0.25% bond/note 10-Feb-2027
Debt Level: Senior Unsecured-Local currency
Issue: CZK 153.51 bln 0.25% bond/note 10-Feb-2027
14-Feb-2025
AA-
Affirmed
Long Term Rating
AA-
Affirmed
Long Term Rating
Country: Czech Republic
Sectors: Sovereigns
Disclosures: EU Issued, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
Sectors: Sovereigns
Disclosures: EU Issued, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
Senior Unsecured-Local currency ; bond/note
ISIN: CZ0001005037 (Public)
ISIN: CZ0001005037 (Public)
Maturity Date: 10-Feb-2027
Currency: CZK
Amount: 153,506,580,000
Coupon Rate: .25%
Placement: Public
Currency: CZK
Amount: 153,506,580,000
Coupon Rate: .25%
Placement: Public
Issuer: Czech Republic
Debt Level: Senior Unsecured-Local currency
Issue: CZK 149 bln 2.75% bond/note 23-Jul-2029
Debt Level: Senior Unsecured-Local currency
Issue: CZK 149 bln 2.75% bond/note 23-Jul-2029
14-Feb-2025
AA-
Affirmed
Long Term Rating
AA-
Affirmed
Long Term Rating
Country: Czech Republic
Sectors: Sovereigns
Disclosures: EU Issued, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
Sectors: Sovereigns
Disclosures: EU Issued, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
Senior Unsecured-Local currency ; bond/note
ISIN: CZ0001005375 (Public)
ISIN: CZ0001005375 (Public)
Maturity Date: 23-Jul-2029
Currency: CZK
Amount: 149,000,000,000
Coupon Rate: 2.75%
Placement: Public
Currency: CZK
Amount: 149,000,000,000
Coupon Rate: 2.75%
Placement: Public
Issuer: Czech Republic
Debt Level: Senior Unsecured-Local currency
Issue: CZK 115.48 bln Floating bond/note 31-Oct-2031
Debt Level: Senior Unsecured-Local currency
Issue: CZK 115.48 bln Floating bond/note 31-Oct-2031
14-Feb-2025
AA-
Affirmed
Long Term Rating
AA-
Affirmed
Long Term Rating
Country: Czech Republic
Sectors: Sovereigns
Disclosures: EU Issued, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
Sectors: Sovereigns
Disclosures: EU Issued, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
Senior Unsecured-Local currency ; bond/note
ISIN: CZ0001006241 (Public)
ISIN: CZ0001006241 (Public)
Maturity Date: 31-Oct-2031
Currency: CZK
Amount: 115,475,430,000
Placement: Public
Currency: CZK
Amount: 115,475,430,000
Placement: Public
Issuer: Czech Republic
Debt Level: Senior Unsecured-Local currency
Issue: CZK 70.43 bln 1.95% bond/note 30-Jul-2037
Debt Level: Senior Unsecured-Local currency
Issue: CZK 70.43 bln 1.95% bond/note 30-Jul-2037
14-Feb-2025
AA-
Affirmed
Long Term Rating
AA-
Affirmed
Long Term Rating
Country: Czech Republic
Sectors: Sovereigns
Disclosures: EU Issued, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
Sectors: Sovereigns
Disclosures: EU Issued, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
Senior Unsecured-Local currency ; bond/note
ISIN: CZ0001006316 (Public)
ISIN: CZ0001006316 (Public)
Maturity Date: 30-Jul-2037
Currency: CZK
Amount: 70,426,640,000
Coupon Rate: 1.95%
Placement: Public
Currency: CZK
Amount: 70,426,640,000
Coupon Rate: 1.95%
Placement: Public
Issuer: Czech Republic
Debt Level: Senior Unsecured-Local currency
Issue: CZK 148.44 bln 5% bond/note 30-Sep-2030
Debt Level: Senior Unsecured-Local currency
Issue: CZK 148.44 bln 5% bond/note 30-Sep-2030
14-Feb-2025
AA-
Affirmed
Long Term Rating
AA-
Affirmed
Long Term Rating
Country: Czech Republic
Sectors: Sovereigns
Disclosures: EU Issued, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
Sectors: Sovereigns
Disclosures: EU Issued, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
Senior Unsecured-Local currency ; bond/note
ISIN: CZ0001006688 (Public)
ISIN: CZ0001006688 (Public)
Maturity Date: 30-Sep-2030
Currency: CZK
Amount: 148,443,800,000
Coupon Rate: 5%
Placement: Public
Currency: CZK
Amount: 148,443,800,000
Coupon Rate: 5%
Placement: Public
Issuer: Czech Republic
Debt Level: Senior Unsecured-Local currency
Issue: CZK 44.24 bln 6.2% bond/note 16-Jun-2031
Debt Level: Senior Unsecured-Local currency
Issue: CZK 44.24 bln 6.2% bond/note 16-Jun-2031
14-Feb-2025
AA-
Affirmed
Long Term Rating
AA-
Affirmed
Long Term Rating
Country: Czech Republic
Sectors: Sovereigns
Disclosures: EU Issued, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
Sectors: Sovereigns
Disclosures: EU Issued, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
Senior Unsecured-Local currency ; bond/note
ISIN: CZ0001006969 (Public)
ISIN: CZ0001006969 (Public)
Maturity Date: 16-Jun-2031
Currency: CZK
Amount: 44,235,820,000
Coupon Rate: 6.2%
Placement: Public
Currency: CZK
Amount: 44,235,820,000
Coupon Rate: 6.2%
Placement: Public
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06Disclosures
Original Rating Date | |
---|---|
Long Term Issuer Default Rating | 10-Aug-1995 |
Short Term Issuer Default Rating | 26-Oct-1995 |
Local Currency Long Term Issuer Default Rating | 24-Nov-1997 |
Country Ceiling | 29-Apr-2004 |
Local Currency Short Term Issuer Default Rating | 22-Jul-2016 |
Endorsement Status | |
---|---|
EU Issued, UK Endorsed |
Country of 巴黎人娱乐城 Office | |
---|---|
GERMANY |
Solicitation Status | |
---|---|
Long Term Issuer Default Rating | Solicited - Sell Side |
Short Term Issuer Default Rating | Solicited - Sell Side |
Country Ceiling | Solicited - Sell Side |
Local Currency Long Term Issuer Default Rating | Solicited - Sell Side |
Local Currency Short Term Issuer Default Rating | Solicited - Sell Side |
Country of Analyst | |
---|---|
GERMANY |
07Identifiers
08Criteria
09Analysts
Malgorzata Krzywicka
Primary Rating Analyst
Hannah Dimpker
Secondary Rating Analyst
Credit-Relevant ESG Scale
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