Terms for UI Treasury Note due 6/14/2015 Payment (Series 15)

June 2nd, 2015. Central Bank of Uruguay, as financial agent of the Republic and in accordance with the instructions of the Ministry of Economy and Finance, granted the option to choose the currency in which the payment of interest and amortization of UI Treasury Note Series 15 due on 6/14/2015 shall be made, which may be received in Pesos or US Dollars.

Only the bondholders who have a preference for payment in US Dollars shall proceed as indicated in the Communication attached (available in Spanish).

Archivo adjuntoDescargar: Comunicación 2015/096 (.pdf 45 KB)

Sovereign Debt Management Unit

Ministry of Economy and Finance of Uruguay
Colonia 1089 3rd Floor CP 11100 Montevideo - debtinfo@mef.gub.uy

Última Actualización: 28/05/2024