1
BOND BOND RATE CAD $ 7 th Series RATE USD $ 8 th Series MATURITY PAYMENT MATURITY PAYMENT BOND 3 year 2 year 5 year 10 year MATURITY DATE Sept. 1, 2023 Sept. 1, 2022 Sept. 1, 2025 Sept. 1, 2030 MATURITY DATE Sept. 1, 2025 MATURITY DATE Sept. 1, 2023 Sept. 1, 2022 Sept. 1, 2025 Sept. 1, 2030 Sept. 1, 2035 2 year 3 year 5 year 10 year Sept. 1, 2035 RATE USD $ 11 th Series RATE USD $ 11 th Series 1.20% 1.01% 1.46% 2.14% 2.40% 0.86% 1.04% 1.31% 2.00% 2.24% Issued on the 1 st and 15 th of each month Semi-annual interest paid every May 1 st and November 1 st Issued on the 1 st and 15 th of each month Semi-annual interest paid every May 1 st and November 1 st 5 year 1.82% CAD $109.44 1.68% USD $108.69 MACCABEE BONDS MAZEL TOV BONDS Israel bonds are sold all year in Canada exclusively by Canada Israel Securities, Limited (CISL). Israel bonds must be held to maturity. This is not an offering. Investment amounts, interest rates and maturities available on all Israel bonds will vary according to current offerings by the State of Israel. Rates, terms and bond issues as listed and/or advertised are subject to change or be discontinued without notice. This does not constitute tax advice. Please consult with your financial/tax advisor should you have any tax-related questions. As with any part of your financial plan, you should always consult with your financial advisor to ensure the plan is suitable for your situation. E/OE. 2020 $5,000 minimum subscription $500 increments within 1 year of purchase. $100 minimum subscription Israel Bonds Rates valid August 15-31, 2020 JUBILEE BONDS $25,000 minimum subscription maturity value per $100 maturity value per $100 15 year 15 year RATE CAD $ 7 th Series RATE CAD $ 7 th Series 1.35% 1.20% 1.86% 2.61% 1.05% 1.20% 1.71% 2.46% 2.86% 2.71% 0.64% USD $5,032.00 BOND RATE CAD $ 7 th Series RATE USD $ 8 th Series MATURITY PAYMENT MATURITY PAYMENT MATURITY DATE BOND RATE CAD $ 7 th Series RATE USD $ 8 th Series MATURITY DATE Sept. 1, 2021 1 year 0.71% CAD $5,035.50 Issued on the 1 st and 15 th of each month Maturity value and rate may be rounded $5,000 minimum subscription $1,000 minimum subscription $100 increments at time of purchase. Issued on the 1 st and 15 th of each month Maturity value and rate may be rounded $500 increments at time of purchase. CAD $: Maximum allowable amount purchased by one purchaser per rate period is $1,000,000. USD $: Maximum allowable amount purchased by one purchaser per rate period is $500,000. maturity value per $5,000 maturity value per $5,000 1.24% USD $1,037.66 MATURITY PAYMENT MATURITY PAYMENT Sept. 1, 2023 3 year 1.40% CAD $1,042.59 maturity value per $1,000 maturity value per $1,000 SABRA BONDS $5,000 increments within 1 year of purchase. BOND RATE CAD $ 7 th Series MATURITY PAYMENT MATURITY DATE Sept. 1, 2025 5 year 1.87% CAD $39.50 eMITZVAH BONDS $36 minimum subscription May only be purchased online at israelbonds.ca $18 increments at time of purchase. Maximum allowable amount purchased by one person on any purchase date, registered in the name of one holder, is $90. Issued on the 1 st of each month Maturity value and rate may be rounded $10 increments at time of purchase. Maximum allowable amount purchased by one person for the same issue date, registered in the name of one holder, is $2,500. Issued on the 1 st of each month Maturity value and rate may be rounded maturity value per $36 RATE USD $ 8 th Series MATURITY PAYMENT 1.68% USD $39.13 maturity value per $36 New for 2020! ISRAEL BONDS for your Important Notes Israel bonds can be registered to more than one individual. Canada-Israel Securities, Limited can only accept orders from Canadian residents. $CDN Israel bonds can only be registered to Canadian residents. Self-Directed: Retirement Savings Plan (RRSP) Tax-Free Savings Account (TFSA) More... Cash Account Regular Investment Portfolio Pension Plans Public and Private Foundations Consider Israel bonds for your investment portfolio: israelbonds.ca Alberta 403.255.8136 Manitoba 416.789.3351 Vancouver 604.266.7210 Toronto 416.789.3351 Montreal 514.482.0427 Ottawa & Atlantic Canada 613.792.1142 & TFSA RRSP

IsraelBonds Ratesheet August15-312020 EN...1 year 0.71% Sept. 1, 2021 CAD $5,035.50 • Issued on the 1st and 15th of each month • Maturity value and rate may be rounded $5,000 minimum

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Page 1: IsraelBonds Ratesheet August15-312020 EN...1 year 0.71% Sept. 1, 2021 CAD $5,035.50 • Issued on the 1st and 15th of each month • Maturity value and rate may be rounded $5,000 minimum

BOND

BOND

RATE CAD $ 7th Series RATE USD $ 8th Series

MATURITY PAYMENT MATURITY PAYMENT

BOND

3 year2 year

5 year10 year

MATURITY DATE

Sept. 1, 2023Sept. 1, 2022

Sept. 1, 2025Sept. 1, 2030

MATURITY DATE

Sept. 1, 2025

MATURITY DATE

Sept. 1, 2023Sept. 1, 2022

Sept. 1, 2025Sept. 1, 2030

Sept. 1, 2035

2 year3 year5 year10 year

Sept. 1, 2035

RATE USD $ 11th Series

RATE USD $ 11th Series

1.20%1.01%

1.46%2.14%2.40%

0.86%1.04%1.31%2.00%2.24%

• Issued on the 1st and 15th of each month • Semi-annual interest paid every May 1st and November 1st

• Issued on the 1st and 15th of each month • Semi-annual interest paid every May 1st and November 1st

5 year 1.82%

CAD $109.44

1.68%

USD $108.69

MACCABEE BONDS

MAZEL TOV BONDS

Israel bonds are sold all year in Canada exclusively by Canada Israel Securities, Limited (CISL). Israel bonds must be held to maturity. This is not an offering. Investment amounts, interest rates and maturities available on all Israel bonds will vary according to current offerings by the State of Israel. Rates, terms and bond issues as listed and/or advertised are subject to change or be discontinued without notice. This does not constitute tax advice. Please consult with your financial/tax advisor should you have any tax-related questions. As with any part of your financial plan, you should always consult with your financial advisor to ensure the plan is suitable for your situation. E/OE. 2020

$5,000 minimum subscription

• $500 increments within 1 year of purchase.

$100 minimum subscription

Israel BondsRates valid August 15-31, 2020

JUBILEE BONDS $25,000 minimum subscription

maturity value per $100 maturity value per $100

15 year

15 year

RATE CAD $ 7th Series

RATE CAD $ 7th Series

1.35%1.20%

1.86%2.61%

1.05%1.20%1.71%2.46%

2.86%

2.71%

0.64%

USD $5,032.00

BOND RATE CAD $ 7th Series RATE USD $ 8th Series

MATURITY PAYMENT MATURITY PAYMENT

MATURITY DATE

BOND RATE CAD $ 7th Series RATE USD $ 8th Series MATURITY DATE

Sept. 1, 20211 year 0.71%

CAD $5,035.50

• Issued on the 1st and 15th of each month • Maturity value and rate may be rounded

$5,000 minimum subscription

$1,000 minimum subscription

• $100 increments at time of purchase.

• Issued on the 1st and 15th of each month • Maturity value and rate may be rounded

• $500 increments at time of purchase.• CAD $: Maximum allowable amount purchased by one purchaser per rate period is $1,000,000.• USD $: Maximum allowable amount purchased by one purchaser per rate period is $500,000.

maturity value per $5,000 maturity value per $5,000

1.24%

USD $1,037.66MATURITY PAYMENT MATURITY PAYMENT

Sept. 1, 20233 year 1.40%

CAD $1,042.59maturity value per $1,000 maturity value per $1,000

SABRA BONDS

• $5,000 increments within 1 year of purchase.

BOND RATE CAD $ 7th Series

MATURITY PAYMENT

MATURITY DATE

Sept. 1, 20255 year 1.87%

CAD $39.50

eMITZVAH BONDS $36 minimum subscription

• May only be purchased online at israelbonds.ca• $18 increments at time of purchase. • Maximum allowable amount purchased by one person on any purchase date, registered in the name of one holder, is $90.• Issued on the 1st of each month • Maturity value and rate may be rounded

• $10 increments at time of purchase. • Maximum allowable amount purchased by one person for the same issue date, registered in the name of one holder, is $2,500.• Issued on the 1st of each month • Maturity value and rate may be rounded

maturity value per $36

RATE USD $ 8th Series

MATURITY PAYMENT1.68%

USD $39.13maturity value per $36

Newfor 2020!

ISRAELBONDS

for your

Important Notes• Israel bonds can be registered to

more than one individual.• Canada-Israel Securities, Limited

can only accept orders from Canadian residents.

• $CDN Israel bonds can only be registered to Canadian residents.

Self-Directed:

• Retirement Savings Plan (RRSP)• Tax-Free Savings Account (TFSA)

More...• Cash Account• Regular Investment Portfolio• Pension Plans• Public and Private Foundations

Consider Israel bonds foryour investment portfolio:

israelbonds.caAlberta403.255.8136

Manitoba416.789.3351

Vancouver604.266.7210

Toronto416.789.3351

Montreal514.482.0427

Ottawa &Atlantic Canada613.792.1142

&TFSA

RRSP