<?xml version="1.0" encoding="UTF-8"?>
<data>
<terms url="https://www.bankofcanada.ca/terms/"></terms>
<groupDetail>
    <label>Ukraine Sovereignty Bond</label>
    <description><![CDATA[Ukraine Sovereignty Bond]]></description>
    <link>https://www.bankofcanada.ca/?p=229429</link>
</groupDetail>
<seriesDetail>
<series id="BOND_UKR_DATE">
<label>Trade date</label>
<description>Trade date</description>
<dimension key="ukr_bond_id" name="Dimension of Ukraine Sovereignty Bond"/>
</series>
<series id="BOND_UKR_ISSUE_DATE">
<label>Issue date</label>
<description>Issue date</description>
<dimension key="ukr_bond_id" name="Dimension of Ukraine Sovereignty Bond"/>
</series>
<series id="BOND_UKR_ISIN">
<label>ISIN</label>
<description>ISIN</description>
<dimension key="ukr_bond_id" name="Dimension of Ukraine Sovereignty Bond"/>
</series>
<series id="BOND_UKR_TERM">
<label>Term (years)</label>
<description>Term (years)</description>
<dimension key="ukr_bond_id" name="Dimension of Ukraine Sovereignty Bond"/>
</series>
<series id="BOND_UKR_MATURITY_DATE">
<label>Maturity date</label>
<description>Maturity date</description>
<dimension key="ukr_bond_id" name="Dimension of Ukraine Sovereignty Bond"/>
</series>
<series id="BOND_UKR_COUPON_RATE">
<label>Coupon rate</label>
<description>Coupon rate</description>
<dimension key="ukr_bond_id" name="Dimension of Ukraine Sovereignty Bond"/>
</series>
<series id="BOND_UKR_ALLOTMENT_YIELD">
<label>Benchmark yield (%)</label>
<description>Benchmark yield (%)</description>
<dimension key="ukr_bond_id" name="Dimension of Ukraine Sovereignty Bond"/>
</series>
<series id="BOND_UKR_ALLOTMENT_PRICE">
<label>Issue price</label>
<description>Issue price</description>
<dimension key="ukr_bond_id" name="Dimension of Ukraine Sovereignty Bond"/>
</series>
<series id="BOND_UKR_ISSUE_AMOUNT">
<label>Nominal amount ($)</label>
<description>Nominal amount ($)</description>
<dimension key="ukr_bond_id" name="Dimension of Ukraine Sovereignty Bond"/>
</series>
</seriesDetail>
<observations>
<o ukr_bond_id="2022-11-29_CA135087P733_5"><v s="BOND_UKR_DATE">2022-11-29</v><v s="BOND_UKR_ISSUE_DATE">2022-12-02</v><v s="BOND_UKR_ISIN">CA135087P733</v><v s="BOND_UKR_TERM">5</v><v s="BOND_UKR_MATURITY_DATE">2027-08-24</v><v s="BOND_UKR_COUPON_RATE">3.245</v><v s="BOND_UKR_ALLOTMENT_YIELD">3.246</v><v s="BOND_UKR_ALLOTMENT_PRICE">100.000</v><v s="BOND_UKR_ISSUE_AMOUNT">500000000</v></o>
</observations>
</data>