Dokumendiregister | Rahandusministeerium |
Viit | 7-1.1/1013-1 |
Registreeritud | 25.02.2025 |
Sünkroonitud | 26.02.2025 |
Liik | Sissetulev kiri |
Funktsioon | 7 RIIGI FINANTSVARADE JA -KOHUSTUSTE HALDAMINE |
Sari | 7-1.1 Raha- ja kapitalituru dokumendid (tehingukinnitused, maksekorraldused jne) ja kirjavahetus |
Toimik | 7-1.1/2025 |
Juurdepääsupiirang | Avalik |
Juurdepääsupiirang | |
Adressaat | State Street Bank International GmbH |
Saabumis/saatmisviis | State Street Bank International GmbH |
Vastutaja | Kaja Kannerma (Rahandusministeerium, Kantsleri vastutusvaldkond, Eelarvepoliitika valdkond, Riigikassa osakond) |
Originaal | Ava uues aknas |
: State Street Bank International GmbH
Postfach 20 19 16
80019 Mönchen
Brienner Strasse 59
STATE STREET 80333 Mönchen
State Street Bank International GmbH, Solmsstr. 83, 60486 Frankfurt
DV 02 0,88 Deutsche Post
LUFTPOST - PRIORITAIRE / Port pay *DV*8632*00000001 * Brief Kilotarif O.
Ministry of Finance of the Republic of Estonia MS Ulle Mathiesen State Treasury Department Suur-Ameerika 1 10122 TaIIinn ESTLAND
Ministry ot Finance of the Republic of Estonia
Statement of Securities as of 31 .01.2025 Created 17.02.25
Fund/Account 0139 Page 1/11
ISIN Security Name Rate Maturity date Par Value/Shares % Value in EUR
XS1 189263400 NORDEA BANK ABP REGSO2/25 1.125 1.125 12.02.25
EUR 10,100,000.00+ RATE 99.96100% 10,096,061.00+ EUR Euroclear HeId on trust-custody basis
BE0000337460 BELGIUM KINGDOM SR UNSECURED 144A REGS 06/26 1 1.000 22.06.26
EUR 15,000,000.00+ RATE 98.36700 % 14,755,050.00+ EUR Euroclear HeId on trust-custody basis
FR0013154044 FRANCE (GOVT 0F) BONDS 144A REGS 05/36 1.25 1.250 25.05.36
EUR 6,600,000.00+ RATE 80.84560 % 5,335,809.60+ EUR Euroclear HeId on trust-custody basis
FROO1 3200813 FRANCE (GOVT 0F) BONDS 144A REGS 11/26 0.25 0.250 25.11.26
EUR 26,000,000.00+ RATE 96.43970 % 25,074,322.00+ EUR Euroclear HeId on trust-custody basis
XS1 551045039 NEDER WATERSCHAPSBANK SR UNSECURED REGS 01/27 0.625 0.625 18.01 .27
EUR 50,000,000.00+ RATE 96.70334% 48,351,672.50+ EUR Rahandusministeerum Euroclear HeId on trust-custody basis
25 02 2025
Special Remarks: (a) = Open buy(s) (b) = Open seII(s) (cl = Restricted shar (dl = Pledged (ei Blocked for proxy voting (ii = Original face value
Ali dates have the format dd.mm.yy or dd.mm.yyyy
Postfach 20 19 16
State Street Bank International GmbH
80019 Mönchen
Briennor Strasse 59
STATE STREET 80333 Mönchen
Fund/Account 0139 Page 2 / 11
ISIN Security Name Rate Maturity date Par Value/Shares % Value in EUR
NLOO1 2171458 NETHERLANDS GOVERNMENT BONDS 144A REGS 07/27 0.75 0.750 15.07.27
EUR 3,400,000.00+ RATE 96.65300 % 3,286,202.00+ EUR Euroclear HeId on trust-custody basis
FR0013250560 FRANCE (GOVT OF) BONDS 144A REGS 05/27 1 1.000 25.05.27
EUR 35,000,000.00+ RATE 97.03000 % 33,960,500.00+ EUR Euroclear HeId on trust-custody basis
XS1748236699 BNG BANK NV SR UNSECURED REGS 01/28 0.75 0.750 11.01.28
EUR 10,000,000.00+ RATE 95.23056 % 9,523,056.50+ EUR Euroclear HeId on trust-custody basis
XS2021 173922 LANDWIRTSCH. RENTENBANK GOVT GUARANT REGS 12/29 0.05 0.050 18.12.29
EUR 20,000,000.00+ RATE 88.79489 % 17,758,979.00+ EUR Euroclear HeId on trust-custody basis
FR0013451507 FRANCE (GOVT OF) BONDS 144A REGS 11/29 0.00000 0.010 25.11.29
EUR 4,000,000.00+ RATE 88.12300 % 3,524,920.00+ EUR Euroclear HeId on trust-custody basis
XS2079798562 NEDER WATERSCHAPSBANK SR UNSECURED REGS 11/26 0.0000 0.010 16.11.26
EUR 20,000,000.00+ RATE 95.93663 % 19,187,327.00+ EUR Euroclear HeId on trust-custody basis
BE0000349580 BELGIUM KINGDOM SR UNSECURED 144A REGS 06/30 0 0.100 22.06.30
EUR 4,000,000.00+ RATE 87.68500 % 3,507,400.00+ EUR Euroclear HeId on trust-custody basis
Special Remarks: (al = Open huy(s) (b) = Open seII(s) Cc) = Restricted shares (d) = Pledged (eI Blocked for proxy voting Cf) Original face value
Ali dates have the format dd.mm.yy or dd.mm.yyyy
4 STATE STREET
Fund/Account 0139
State Street Bank International GmbH
Postfach 20 19 16
80019 M(nchen
Brienner Strasse 59
80333 Mönchen
Page 3/11
FROO1 3341682
EUR 3,000,000.00+
BELGIUM KINGDOM SR UNSECURED 144A REGS 06/40 0 RATE 64.78700 % EUR Euroclear HeId on trust-custody basis
FINNISH GOVERNMENT SR UNSECURED 144A REGS 04/34 1 RATE 86.31083 % EUR Euroclear HeId on trust-custody basis
NETHERLANDS GOVERNMENT BONDS 144A REGS 07/28 0.75 RATE 95.05400 % EUR
HeId on trust-custody basis
FRANCE (GOVT OF) BONDS 144AREGS 11/280.75 RATE 93.48900 % EUR Euroclear
22.06.40 4,016,794.00 +
1.125 15.04.34 2,589,324.90 +
15.07.28 19,010,800.00 +
25.11.28 2,804,670.00 +
HeId on trust-custody basis
FRANCE (GOVT OF) BONDS 144A REGS 09/26 2.5 RATE 100.35500 % EU R Euroclear HeId on trust-custody basis
REPUBLIC OF AUSTRIA SR UNSECURED 144A REGS 05/29 2 RATE 101.84433% EUR
HeId on trust-custody basis
COUNCIL OF EUROPE SR UNSECURED REGS 09/28 3.125 RATE 102.33030 % EUR Euroclear HeId on trust-custody basis
2.500 24.09.26 6,021,300.00 +
23.05.29 15,276,649.50 +
3.125 13.09.28 10,233,030.00 +
Special Remarks: (a) = Open buy(s) (d) = Pledged
(b) = Open seliIs) (e) = Blocked for proxy voting
(c) = Restricted shares (f) = Original face value
ISIN Security Name Rate Maturity date Par Value/Shares % Value in EUR
BE0000350596
‘EUR 6,200,000.00+
F14000306758
EUR 3,000,000.00+
NLOO1 2818504
EUR 20,000,000.00+
0.400
Euroclear
0.750
0.750
FROO1 400FYQ4
EUR 6,000,000.00+
AT0000A33SH3
EUR 15,000,000.00+
XS2681 334962
EUR 10,000,000.00+
Euroclear
2.900
Ali dates have the format dd.mm.yy or ddmm.yyyy
Postfach 20 19 16
State Street Bank International GmbH
80019 Mnchen
Brienner Strasse 59
STATE STREET 80333 Mönchen
Fund/Account 0139 Page 4 / 11
ISIN Security Name Rate Maturity date Par Value/Shares % Value in EUR
NLOO1 5001 XZ6 NETHERLANDS GOVERNM ENT BONDS 144A REGS 07/34 2.5 2.500 15.07.34
EUR 28,000,000.00+ RATE 98.73500 % 27,645,800.00+ EUR Euroclear HeId on trust-custody basis
BE0000362716 BELGIUM KINGDOM SR UNSECURED 144A REGS 10/29 2 2.700 22.10.29
EUR 4,000,000.00+ RATE 100.75600 % 4,030,240.00+ EUR Euroclear HeId on trust-custody basis
XS2827726550 SVENSKA HANDELSBANKEN AB 04/25ZCP 0.000 22.04.25
EUR 50,000,000.00+ RATE 96.69764 % 48,348,820.50+ EU R Euroclear HeId on trust-custody basis
XS2912335978 BGL BNP PARIBAS 02/25 ZCP 0.000 28.02.25
EUR 50,000,000.00+ RATE 98.66330 % 49,331,652.00+ EUR Euroclear HeId on trust-custody basis
XS2913251224 MUFG BANK LTD. 03/25 ZCP 0.000 03.03.25
EUR 50,000,000.00+ RATE 98.64997 % 49,324,987.50+ EUR Euroclear HeId on trust-custody basis
BE6354570036 SUMITOMO MITSUI BANKING CORPOR 03/25 ZCP 0.000 27.03.25
EUR 50,000,000.00+ RATE 98.41171 % 49,205,858.50+ EUR Euroclear H&d on trust-custody basis
FR0128562784 UNEDIC SA 06/25 ZCP 0.000 25.06.25
EUR 30,000,000.00+ RATE 97.93813 % 29,381,439.00+ EU R Euroclear HeId on trust-custody basis
Special Remarks: (a) = Open buy(s) (b) = Open seII(s) (cl Restricted shares (dl = Pledged (ei = Blocked for proxy voting (f 1 = Original face value
AlI dates hava the format dd.mm.yy or dd.mm.yyyy
Postfach 20 19 16
State Street Bank InternatonaI GmbH
80019 Mtnchen
Brienner Strasse 59
STATE STREET 80333 Mönchen
Fund/Account 0139 Page 5/11
ISIN Security Name Rate Maturity date Par Value/Shares % Value in EUR
FRO1 28460377 UNEDIC SA 03/25 ZCP 0.000 14.03.25
EUR 50,000,000.00+ RATE 98.70006 % 49,350,032.50+ EUR Euroclear HeId on trust-custody basis
XS292041 1878 NORDEA BANK ABP 05/25 ZCP 0.000 12.05.25
EUR 75,000,000.00+ RATE 98.26166% 73,696,251.75+ EUR Euroclear HeId on trust-custody basis
XS2921380676 CITIBANK, NA TREAS.LDN 03/25 ZCP 0.000 14.03.25
EUR 50,000,000.00+ RATE 98.69598 % 49,347,990.00+ EUR Euroclear HeId on trust-custody basis
XS2898886754 NEDER WATERSCHAPSBANK SR UNSECURED REGS 09/27 2.5 2.500 13.09.27
EUR 9,669,000.00+ RATE 100.21512 % 9,689,799.95+ EU R Euroclear HeId on trust-custody basis
XS2948748 103 NORINCHUKIN BANK LDN 02/25 ZCP 0.000 26.02.25
EUR 20,000,000.00+ RATE 99.17486 % 19,834,973.00+ EUR Euroclear HeId on trust-custody basis
XS2949376094 MITSUBISHI UFJ TRUST AND BKNG 04/25 ZCP 0.000 25.04.25
EUR 20,000,000.00+ RATE 98.79004 % 19,758,008.40+ EUR Euroclear HeId on trust-custody basis
XS2949466671 DZ PRIVATBANK S.A. 08/25 ZCP 0.000 25.08.25
EUR 35,000,000.00+ RATE 98.05187 % 34,318,155.55+ EUR Euroclear HeId on trust-custody basis
Special Remarks: (a = Open buy(s) (b) = Open seII(s) (c) = Restricted shares (d)=Pledged (e)=Blocked for proxy voting (f)=Original face value
AH dates have the format dd.mm.yy or dd.mm.yyyy
Postfach 20 19 16
State Street Bank international GmbH
80019 Mönchen
Brienner Strasse 59
STATE STREET 80333 M(nchen
Fund/Account 0139 Page 6/11
ISIN Security Name Rate Maturity date Par Value/Shares % Value in EUR
FR0128916188 AGENCE CENTRALE ORGANISMES SEC 02/25 ZCP 0.000 03.02.25
EUR 50,000,000.00+ RATE 99.47081 % 49,735,407.50+ EUR Euroclear HeId on trust-custody basis
XS2957379568 AGENCE CENTRALE ORGANISMES SEC 02/25 ZCP 0.000 05.02.25
EUR 50,000,000.00+ RATE 99.96265 % 49,981,325.00+ FU R Euroclear HeId on trust-custody basis
XS2962835505 SUMITOMO TRUST AND BANKING 02/25 ZCP 0.000 13.02.25
EUR 67,000,000.00+ RATE 99.90007 % 66,933,046.90+ EUR Euroclear HeId on trust-custody basis
BE6356628246 SUMITOMO MTSUI BANKING CORPOR 02/25 ZCP 0.000 12.02.25
EUR 50,000,000.00+ RATE 99.48258 % 49,741,290.00+ EUR Euroclear HeId on trust-custody basis
BE6356638344 SUMITOMO MITSUI BANKING CORPOR 03/25ZCP 0.000 17.03.25
EUR 65,000,000.00+ RATE 99.65867 % 64,778,135.50+ EUR Euroclear HeId on trust-custody basis
FR0128453166 UNEDIC SA 02/25 ZCP 0.000 06.02.25
EUR 80,000,000.00+ RATE 99.95419 % 79,963,352.00+ EUR Euroclear HeId on trust-custody basis
XS29741 37247 THE NORINCHUKIN BANK 04/25 ZCP 0.000 07.04.25
EUR 50,000,000.00+ RATE 99.49292 % 49,746,460.00+ EU R Euroclear HeId on trust-custody basis
Speciai Remarks: (a)=Open buy(s) (b)=Open seii(s) (c)=Restricted shares (d)=Piedged (e)=Blocked for proxy voting (f)=Originai face value
Ali dates have the format ddmm.yy or dd.mm.yyyy
Postfach 20 19 16
State Street Bank International GmbH
80019 Mönchen
Brienner Strasse 59
STATE STREET 80333 Mönchen
Fund/Account 0139 Page 7 / 11
ISIN Security Name Rate Maturity date Par Value/Shares % Value in EUR
DE000BYLOPR6 BAYERISCHE LANDESBANK 02/25 ZCP 0.000 05.02.25
EUR 50,000,000.00+ RATE 99.96265 % 49,981,325.00+ EUR Euroclear HeId on trust-custody basis
XS297297 1472 MIZUHO BANK LTD 02/25 ZCP 0.000 06.02.25
EUR 50,000,000.00+ RATE 99.95386 % 49,976,930.00+ EUR Euroclear HeId on trust-custody basis
BE6356610061 SUMITOMO MITSUI BANKING CORPOR 03/25 ZCP 0.000 06.03.25
EUR 50,000,000.00+ RATE 99.73982 % 49,869,910.00+ EUR Euroclear H&d on trust-custody basis
XS2936663348 SUMITOMO TRUST AND BANKING 02/25 ZCP 0.000 07.02.25
EUR 55,000,000.00+ RATE 99.20382% 54,562,101.00+ EU R Euroclear HeId on trust-custody basis
XS2944837306 MITSUBISHI UFJ TRUST AND BKNG 02/25ZCP 0.000 18.02.25
EUR 50,000,000.00+ RATE 99.21148 % 49,605,744.50+ EU R Euroclear HeId on trust-custody basis
XS2944831796 WELLS FARGO BANK INT PLC 04/25 ZCP 0.000 22.04.25
EUR 40,000,000.00+ RATE 98.73319 % 39,493,279.20+ EU R Euroclear HeId on trust-custody basis
BE6356560530 SUMITOMO MITSUI BANKING CORPOR 03/25 ZCP 0.000 18.03.25
EUR 50,000,000.00+ RATE 99.01316 % 49,506,584.50+ EU R Euroclear HeId on trust-custody basis
Speciai Remarks: (a)=Open buy(s) (b)=Open selI(s) (c)=Restricted shares (d)PIedged (e)=Blocked for proxy voting (f)=Original face value
Ali dates have the format dd.mmyy or dd.mm.yyyy
Posttach 20 19 16
State Street Bank nternationaI GmbH
80019 Mlnchen
Brienner Strasse 59
STATE STREET 80333 Minchen
Fund/Account 0139 Page 8 / 11
ISIN Security Name Rate Maturity date Par Value/Shares % Value in EUR
XS294805 1094 MIZUHO BANK LTD 04/25 ZCP 0.000 01.04.25
EUR 50,000,000.00+ RATE 98.95930 % 49,479,652.50+ EUR Euroclear HeId on trust-custody basis
XS294797 1730 MITSUBSHI UFJ TRUST AND BKNG 04/25 ZCP 0.000 22.04.25
EUR 50,000,000.00+ RATE 98.77388 % 49,386,943.50+ EUR Eurocl ear HeId on trust-custody basis
XS2986720220 HONEYWELL INTERNATIONAL INC 04/25 ZCP 0.000 25.04.25
EUR 15,000,000.00+ RATE99.39008% 14,908,512.00+ EUR Euroclear HeId on trust-custody basis
XS29852471 67 MITSUBISHI CORPORATION FINANCE 02/25 ZCP 0.000 03.02.25
EUR 80,000,000.00+ RATE 99.90109 % 79,920,878.40+ EUR Euroclear HeId on trust-custody basis
AT0000A3HU25 REPUBLIC OF AUSTRIA SR UNSECURED 144A REGS 02/35 2 2.950 20.02.35
EUR 0.00+ RATE 100.57200 % 0.00+ EUR Euroclear HeId on trust-custody basis (a) 10,000,000.000
XS2978805609 MUFG BANK LTD 05/25 ZCP 0.000 13.05.25
EUR 50,000,000.00+ RATE 99.23668 % 49,618,340.00+ EUR Euroclear HeId on trust-custody basis
FR0128614874 UNEDIC SA 06/25 ZCP 0.000 13.06.25
EUR 50,000,000.00+ RATE 99.03894% 49,519,470.00+ EU R Euroclear HeId on trust-custody basis
SpecaI Remarks: (a)0pen buy(s) (b)=Open seII(s) (c=Restricted shares (d) = Pledged (e) = Blocked for proxy voting ii) = Original face value
Ali dates have the format dd.mm.yy or dd.mm.yyyy
Postfach 20 19 16
State Street Bank International GmbH
80019 Minchen
Brienner Strasse 59
STATE STREET 80333 Mönchen
Fund/Account 0139 Page 9/11
ISIN Security Name Rate Maturity date Par Value/Shares % Value jo EUR
DE000BYLOPW6 BAYERISCHE LANDESBANK 06/25 ZCP 0.000 13.06.25
EUR 50,000,000.00+ RATE 99.07442 % 49,537,210.00+ EUR Euroclear HeId on trust-custody basis
XS2980734045 STATE OF THE NETHERLANDS 02/25 0 0.010 05.02.25
EUR 50,000,000.00+ RATE99.96265% 49,981,326.50+ EUR Euroclear HeId on trust-custody basis
XS2973478022 MITSUBISHI CORPORATION FINANCE 03/25 ZCP 0.000 06.03.25
EUR 55,000,000.00+ RATE 99.73231 % 54,852,770.50+ EU R Euroclear HeId on trust-custody basis
XS2985204432 MITSUBISHI UFJ TRUST AND BKNG 04/25 ZCP 0.000 22.04.25
EUR 25,000,000.00+ RATE 99.38394 % 24,845,985.00+ EU R Euroclear HeId on trust-custody basis
FR01 29010288 BPIFRANCE 04/25 ZCP 0.000 03.04.25
EUR 100,000,000.00+ RATE 99.55467 % 99,554,670.00+ EUR Euroclear HeId on trust-custody basis
AT0000A2VB47 REPUBLIC OF AUSTRIA SR UNSECURED 144A REGS 10/28 0 0.010 20.10.28
EUR 15,600,000.00+ RATE 91.71794% 14,307,999.42+ EUR Euroclear HeId on trust-custody basis
XS2540993685 BNG BANK NV SR UNSECURED REGS 10/27 2.75 2.750 04.10.27
EUR 105,000,000.00+ RATE 100.87317 % 105,91 6,828.50+ EUR Euroclear HeId on trust-custody basis
Speciai Remarks: (a)=Open buy(s) (b)=open seII(s) (c)=Restricted shares (dl = Pledged (ei = Biocked for proxy voting (f 1 = Original face value
Ali dates have the format dd.mmyy or dd.mm.yyyy
Postfach 20 19 16
State Street Bank International GmbH
80019 Mönchen
Brienner Strasse 59
STATE STREET 80333 Mönchen
Fund/Account 0139 Page 10 / 11
ISIN Security Name Rate Maturity date Par Value/Shares % Value in EUR
NLOO1 5031 501 NETHERLANDS GOVERNMENT BONDS 144A REGS 01/27 0.00000 0.010 15.01 .27
EUR 10,000,000.00+ RATE 95.94980 % 9,594,980.00+ EUR Euroclear HeId on trust-custody basis
DE000A3E5LU1 KFW GOVT GUARANT REGS 11/28 0.0000 0.010 09.11.28
EUR 5,000,000.00+ RATE 91.38800% 4,569,400.00+ EUR Euroclear HeId on trust-custody basis
XS21 56510021 SVENSKA HANDELSBANKEN AB REGSO4/25 1 1.000 15.04.25
EUR 20,000,000.00+ RATE99.63600% 19,927,200.00+ EUR Euroclear HeId on trust-custody basis
DE000A289F29 KFW GOVT GUARANT REGS 12/27 0.0000 0.010 15.12.27
EUR 10,000,000.00+ RATE 93.59000 % 9,359,000.00+ EUR Euroclear HeId on trust-custody basis
NLOO1 5000B1 1 NETHERLANDS GOVERNMENT BONDS 144AREGSO1/380.00000 0.010 15.01.38
EUR 15,000,000.00+ RATE69.65700% 10,448,550.00+ EUR Euroclear HeId on trust-custody basis
IE000BZ1HVL2 SPDR MSCI WORLD UCITS ETF SPDR MSCI WLD EUR HDG ACC
SH 802,000.000+ RATE EUR 13.05350 10,468,907.00+ EUR Euroclear HeId on trust-custody basis
BE0000335449 BELGIUM KINGDOM SR UNSECURED 144A REGS 06/31 1 1.000 22.06.31
EUR 31,000,000.00+ RATE 90.23300 % 27,972,230.00+ EUR Euroclear HeId on trust-custody basis
Special Remarks: (a) = Open buy(s) (b) = Open seII(s) c) = Restricted shares d)=PIedged (e)=Blocked for proxy voting 1=0riginaI face value
AH dates have the format dd.mmyy or dd.mm.yyyy
Postfach 20 19 16
State Street Bank international GmbH
80019 Mnchen
Brienner Strasse 59
STATE STREET 80333 M(nchen
Fund/Account 0139 Page 11 / 11
ISIN Security Name Rate Maturity date Par Value/Shares % Value in EUR
BE0000324336 BELGIUM KINGDOM SR UNSECURED 144A REGS 03/26 4 4.500 28.03.26
EUR 15,000,000.00+ RATE 102.51680 % 15,377,520.00+ EU R Euroclear HeId on trust-custody basis
BE0000291972 BELGIUM KINGDOM SR UNSECURED REGS 03/28 5.5 5.500 28.03,28
EUR 2,000,000.00+ RATE 109.34900 % 2,186,980.00+ EUR Euroclear HeId on trust-custody basis
Positions: 70 TotalValue in EUR 2,323,188,121.07+
You are kindly requested to check the positions immediately and to contact our internal audit department at your earliest convenience if discrepancies should be found. We would like to point out that the positions wiII be considered approved if the bank has not received a written objection within a period of exclusion of 6 weeks from the day this Statement of deposited Securities has been sent.
Statement issued unsigned
Speciai Remarks: (a) = Open buy(s) Cb) = 0pen seli(s) Cc) = Restricted shares Cd) = Pledged (e) = Biocked for proxy voting (f) = Original face value
Ali dates have the format dd.mm.yy or dd.mm.yyyy