10 May 2021 ISIN|Issue code|Issue name|Nominal Value [CZK]|Average Price/Value|Nominal Value of Settlement [CZK] CZ0001006258|20810830|SPP 26T 09/04|1000000|99.87| CZ0001006191|21012828|SPP 39T 12/03|1000000|99.78| CZ0001006175|21308826|SPP 26T 12/02|1000000|99.94| CZ0001006266|22307831|SPP 13T 23/04|1000000|99.95| CZ0001006225|22506829|SPP 13T 26/03|1000000|99.97| CZ0001006183|22805827|SPP 13T 26/02|1000000|99.99| CZ0001006035|40907241|P ČNB 52T 4000 mld 10/07|1000000|100.00|