State agent in the management of public debt securities
Government Securities
The Central Bank of the Republic of San Marino acts as the paying agent and centralized manager for government securities issued by the Republic of San Marino in the domestic market. It is responsible for their electronic registration as dematerialized securities, as well as managing the issuance, settlement, and any coupon detachment and redemption processes.
This section provides the relevant regulations and information regarding the issuance of government securities managed by the Central Bank of the Republic of San Marino.
For information and reference materials concerning government bond issues of the Republic of San Marino placed on international markets, please refer to other relevant sources.
The following information is available:
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Delegated Decree February 19, 2021 No. 23 on the issuance on international markets of public debt securities of the Republic of San Marino, fixed rate 3.25%, February 24, 2024 (ISIN: XS2239061927);
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Delegated Decree No. 83 of May 13, 2023 on the issue on international markets of public debt securities of the Republic of San Marino, fixed rate 6.50%, January 19, 2027 (ISIN: XS2619991883).