Canadian Securities Exchange (CSE)

Canadian Securities Exchange (CSE)

June 12, 2015 16:50 ET

CSE: 2015-0606-Province of Manitoba Bonds

TORONTO, ONTARIO--(Marketwired - June 12, 2015) - On May 15, 2015 Manitoba Finance announced the interest rate for Manitoba Builder Bonds, Series 15, on sale May 19, 2015 to June 2, 2015 throughout the province.

In addition, the interest rate for all outstanding floating rate bonds, which are adjustable and redeemable annually, has been set at 1.25 percent effective June 15, 2015.

The Series 15 Builder Bonds will be listed on Monday, June 15 under the following symbols:

CUSIP Symbol Description
56343TBY9 BMB.DB.A Three-Year Annual Fixed Rate 1.40% June 15 2018
56343TBX1 BMB.DB.B Five-Year Annual Fixed Rate 1.50% June 15 2020
56343TCA0 BMB.DB.C Five-Year Compound Fixed Rate 1.50% June 15 2020
56343TBZ6 BMB.DB.D Five-Year Annual Floating Rate 1.25% June 15 2020

The following bonds will be delisted upon maturation June 15, 2015. All trades June 11, 12 and 15 will be for settlement on June 15:

BL.DB.B Manitoba Builder Bonds Series 12 Five-Year Annual Fixed Rate June 15 2015

MBM.DB.A Manitoba Builder Bonds Series 12 Three-Year Annual Fixed Rate June 15 2015

BL.DB.C Manitoba Builder Bonds Series 12 Five-Year Compound Fixed Rate June 15 2015

BL.DB.F Manitoba Builder Bonds Series 12 Five-Year Annual Floating Rate June 15 2015

The interest rate will be adjusted to 1.25 percent on the outstanding Floating Rate bonds, effective June 15, 2015:

MBM.DB.D Builder Bonds Series 13 June 15 2017

BBN.DB.D Builder Bonds Series 14 June 15 2019

HKF.DB Hydro Bonds Series 11 June 15 2016

MHL.DB.D HydroBonds Series 12 June 15 2018

Further details on the Manitoba Builder Bonds and Hydro Bonds are available at www.thecse.com or more information may be obtained by calling the toll-free bond line at 1-800-565-0350.

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