Securities auctions and Open Market Operations   >   (CF107) - Government Securities
  Securities auctions and Open Market Operations     (CF107) - Government Securities

Period: 01/19/1978 - 10/18/2018, Daily, Different Units or Measures, ciphers without type

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10/04/2018 10/11/2018 10/18/2018
Government Securities.  Weekly auctions results on its date of circulation
Cetes 1/
28 day Cetes
Days to maturity
28.00000 28.00000 28.00000
Allotted amount 2/
7,000.00000 7,000.00000 7,000.00000
Interest rate 3/
7.67000 7.70000 7.65000
91 day Cetes
Days to maturity
91.00000 91.00000 91.00000
Allotted amount 2/
11,000.00000 11,000.00000 11,000.00000
Interest rate 3/
7.87000 7.88000 7.85000
182 day Cetes
Days to maturity
175.00000 182.00000 175.00000
Allotted amount 2/
11,000.00000 11,000.00000 11,000.00000
Interest rate 3/
8.00000 8.07000 8.05000
364 day Cetes
Days to maturity
N/E 336.00000 N/E
Allotted amount 2/
N/E 12,500.00000 N/E
Interest rate 3/
N/E 8.20000 N/E
Bondes 4/
3 year Bondes D
Days to maturity
N/E N/E N/E
Allotted amount 2/
N/E N/E N/E
Average placement price
N/E N/E N/E
5 year Bondes D
Days to maturity
N/E 1,785.00000 N/E
Allotted amount 2/
N/E 5,000.00000 N/E
Average placement price
N/E 99.26172 N/E
3 year Bondes
Days to maturity
N/E N/E N/E
Allotted amount 2/
N/E N/E N/E
91 day coupon 5/
N/E N/E N/E
5 year Bondes
Days to maturity
N/E N/E N/E
Allotted amount 2/
N/E N/E N/E
182 day coupon 6/
N/E N/E N/E
Bonos 7/
3 year fixed rate bond 10/
Days to maturity
N/E N/E 1,148.00000
Allotted amount 2/
N/E N/E 9,000.00000
Interest rate 3/
N/E N/E 7.91000
5 year fixed rate bond
Days to maturity
1,890.00000 N/E N/E
Allotted amount 2/
9,000.00000 N/E N/E
Interest rate 3/
7.76000 N/E N/E
7 year fixed rate bond
Days to maturity
N/E N/E N/E
Allotted amount 2/
N/E N/E N/E
Interest rate 3/
N/E N/E N/E
10 year fixed rate bond
Days to maturity
N/E 3,157.00000 N/E
Allotted armount 2/
N/E 9,000.00000 N/E
Interest rate 3/
N/E 8.17000 N/E
20 year fixed rate bond
Days to maturity
N/E N/E N/E
Allotted armount 2/
N/E N/E N/E
Interest rate 3/
N/E N/E N/E
30 year fixed rate bond
Days to maturity
N/E N/E N/E
Allotted armount 2/
N/E N/E N/E
Interest rate 3/
N/E N/E N/E
Udibonos 8/
3 year Udibonos
Days to maturity
N/E N/E 1,330.00000
Allotted amount in Udis 9/
N/E N/E 1,000.00000
Real interest rate 3/
N/E N/E 3.67000
5 year Udibonos
Days to maturity
N/E N/E N/E
Allotted amount in Udis 9/
N/E N/E N/E
Real interest rate 3/
N/E N/E N/E
10 year Udibonos
Days to maturity
3,710.00000 N/E N/E
Allotted amount in Udis 9/
800.00000 N/E N/E
Real interest rate 3/
3.72000 N/E N/E
20 year Udibonos
Days to maturity
N/E N/E N/E
Allotted amount in Udis 9/
N/E N/E N/E
Real interest rate 3/
N/E N/E N/E
30 year Udibonos
Days to maturity
N/E 10,255.00000 N/E
Allotted amount in Udis 9/
N/E 450.00000 N/E
Real interest rate 3/
N/E 3.92000 N/E
Notes:
1/ Zero coupon bonds denominated in pesos issued by the Mexican Government. For further information see the provisions issued in the Official Gazette of November 28, 1977 and of July 8, 1993.
2/ Million pesos.
3/ Annual percent.
4/ Floating rate securities denominated in pesos, issued by the Mexican Government. For further information see the provisions issued in the Official Gazette of September 22, 1987. 5/ Percentage points in addition to the 91 day primary auction Cetes rate. 6/ Percentage points in addition to the 182 day primary auction Cetes rate. 7/ Fixed rate securities denominated in pesos, issued by the Mexican Government rate. For further information see the provisions issued in the Official Gazette of September 22, 1987. 8/ Bonos de Desarrollo del Gobierno Federal en UDIS (UDIBONOS). Inflation indexed securities issued by the Mexican Government (denominated in investment units-Udis). For further information see the provisions issued in the Official Gazette of September 22, 1987.
9/ Million Udis.
Securities auctions and Open Market Operations(CF107) - Government Securities