Title |
Date Released |
Operational Notice: Sale of Certain RMBS Investments |
13 March 2014 |
Operational Notice: Pricing of New April 2026 Treasury Bond |
12 March 2014 |
Operational Notice: Launch of New April 2026 Treasury Bond |
11 March 2014 |
Operational Notice: Sale of Certain RMBS Investments |
28 February 2014 |
Operational Notice: Issuance of Commonwealth Government Securities |
18 December 2013 |
Operational Notice: Pricing of New April 2033 Treasury Bond |
19 November 2013 |
Operational Notice: Launch of New April 2033 Treasury Bond |
18 November 2013 |
Operational Notice: Sale of Certain RMBS Investments |
29 October 2013 |
Operational Notice: Issuance of Commonwealth Government Securities |
23 October 2013 |
Operational Notice: Pricing of New August 2035 Treasury Indexed Bond |
26 September 2013 |
Operational Notice: Launch of new August 2035 Treasury Indexed Bond |
25 September 2013 |
Operational Notice: Issuance of Commonwealth Government Securities |
5 August 2013 |
Operational Notice: Multiple Price Tenders for Treasury Indexed Bonds |
24 June 2013 |
Operational Notice: Sale of Certain RMBS Investments |
22 May 2013 |
Operational Notice: Pricing of new April 2025 Treasury Bond |
22 May 2013 |
Operational Notice: Launch of new April 2025 Treasury Bond |
21 May 2013 |
Operational Notice: Issuance of Commonwealth Government Securities |
15 May 2013 |
Operational Notice: Closure of RBA Small Investor Bond Facility |
8 May 2013 |
Operational Notice: Launch of Exchange-Traded Australian Government Bonds Trading |
8 May 2013 |
Operational Notice: End of AOFM RMBS Investment Program |
10 April 2013 |
Operational Notice: Sale of Certain RMBS Investments |
1 February 2013 |
Operational Notice: Sale of Certain RMBS Investments |
21 November 2012 |
Operational Notice: Issuance of Commonwealth Government Securities |
23 October 2012 |
Operational Notice: Pricing of new April 2029 Treasury Bond |
10 October 2012 |
Operational Notice: Launch of new April 2029 Treasury Bond |
9 October 2012 |
Operational Notice: CPI Re-referencing: Impact on Treasury Indexed Bonds |
4 September 2012 |
Operational Notice: Temporary Closure of AOFM Office |
3 September 2012 |
Operational Notice: Issuance of Commonwealth Government Securities |
9 May 2012 |
Operational Notice: Treasury System Acquisition Project |
28 March 2012 |
Operational Notice: Sale of Certain RMBS Investments |
16 March 2012 |
Operational Notice: Pricing of New February 2022 Treasury Indexed Bond |
21 February 2012 |
Operational Notice: Launch of New February 2022 Treasury Indexed Bond |
20 February 2012 |
Operational Notice: Letter to the Editor of The Australian Financial Review |
1 December 2011 |
Operational Notice: Issuance of Commonwealth Government Securities |
29 November 2011 |
Operational Notice: Pricing of New April 2027 Treasury Bond |
20 October 2011 |
Operational Notice: Launch of New April 2027 Treasury Bond |
19 October 2011 |
Operational Notice: New Treasury Bond Offering |
7 October 2011 |
Operational Notice: Issuance of Commonwealth Government Securities |
11 May 2011 |
Operational Notice: Purchase of RMBS - Program Update |
8 April 2011 |
Operational Notice: Sovereign Risk Manager of the Year award |
24 January 2011 |
Operational Notice: Appointment of the Chief Executive, Australian Office of Financial Management |
17 December 2010 |
Operational Notice: Purchase of RMBS – End of Serial Investment Arrangements |
17 December 2010 |
Operational Notice: Issuance of Commonwealth Government Securities |
10 November 2010 |
Operational Notice: Pricing of New 2030 Treasury Indexed Bond |
16 September 2010 |
Operational Notice: Launch of New 2030 Treasury Indexed Bond |
15 September 2010 |
Operational Notice: Retirement of AOFM Chief Executive Officer |
22 July 2010 |
Operational Notice: RMBS Investments |
25 May 2010 |
Operational Notice: Issuance of Commonwealth Government Securities |
12 May 2010 |
Operational Notice: Sale of Certain RMBS Investments |
31 March 2010 |
Operational Notice: Purchase of RMBS – Announcement of Serial Investment Arrangements |
28 January 2010 |
Operational Notice: New Information Memoranda for Commonwealth Government Securities |
18 December 2009 |
Operational Notice: Cash Management – Short term Investments and Purchases of Maturing Stock |
15 December 2009 |
Operational Notice: Removal of Non-resident Interest Withholding Tax on Commonwealth Government Securities |
10 December 2009 |
Operational Notice: Purchase of RMBS – Serial Investment Arrangements |
8 December 2009 |
Operational Notice: Purchase of RMBS – Extended Program |
7 December 2009 |
Operational Notice: Issuance of Commonwealth Government Securities over the Remainder of the Current Financial Year |
5 November 2009 |
Operational Notice: Pricing of New 2025 Treasury Indexed Bond |
30 September 2009 |
Operational Notice: Purchase of RMBS – Announcement of Mandates – Third Selection Round |
30 September 2009 |
Operational Notice: Launch of New 2025 Treasury Indexed Bond |
29 September 2009 |
Operational Notice: Purchase of RMBS – Receipt of Third Round of Proposals |
21 September 2009 |
Operational Notice: Securities Lending Facility – Extension to Treasury Indexed Bonds |
21 September 2009 |
Operational Notice: Planned Issue of New Treasury Indexed Bond |
4 September 2009 |
Operational Notice: Purchase of RMBS – Request for Proposals - Third Selection Round |
31 August 2009 |
Operational Notice: Removal of Non-Resident Interest Withholding Tax on Commonwealth Government Securities |
21 August 2009 |
Operational Notice: Treasury Indexed Bonds – Resumption of Issuance and Participation in Syndicate |
7 August 2009 |
Operational Notice: Purchase of RMBS - Announcement of Further Mandates - Second Selection Round |
14 July 2009 |
Operational Notice: Purchase of RMBS - Announcement of Further Mandates - Second Selection Round |
2 June 2009 |
Operational Notice: Interest Rate Swap Unwind Program |
28 May 2009 |
Operational Notice: Issuance of Commonwealth Government Securities |
13 May 2009 |
Operational Notice: New Information Memoranda for Treasury Notes and Treasury Bonds |
20 April 2009 |
Operational Notice: Purchase of RMBS - Announcement of Further Mandates - Second Selection Round |
17 April 2009 |
Operational Notice: Change to Securities Lending Facility |
7 April 2009 |
Operational Notice: Purchase of RMBS - Announcement of Further Mandates - Second Selection Round |
24 March 2009 |
Operational Notice: New Information Memoranda for Treasury Notes and Treasury Bonds |
2 March 2009 |
Operational Notice: Arrangements for the Recommencement of Treasury Note Issuance |
26 February 2009 |
Operational Notice: New Tender System for the Issue of Commonwealth Government Securities |
23 February 2009 |
Operational Notice: Purchase of RMBS - Announcement of Mandates - Second Selection Round |
17 February 2009 |
Operational Notice: Update on the Unwind of Interest Rate Swaps |
10 February 2009 |
Operational Notice: Issuance of Commonwealth Government Securities in the Remainder of the Current Financial Year |
4 February 2009 |
Operational Notice: Purchase of RMBS - Request for Proposals - Second Selection Round |
18 December 2008 |
Operational Notice: Treasury Bond Issuance - March Quarter 2009 |
16 December 2008 |
Operational Notice: Unwind of Interest Rate Swaps |
20 November 2008 |
Operational Notice: Purchase of RMBS - Announcement of Further Mandates |
17 November 2008 |
Operational Notice: Purchase of RMBS - Announcement of Mandates |
29 October 2008 |
Operational Notice: Purchase of RMBS – Receipt of First Round of Proposals |
27 October 2008 |
Operational Notice: Cancellation of Treasury Bond Tender |
27 October 2008 |
Operational Notice: Purchase of RMBS – Request for Proposals |
13 October 2008 |
Treasurer Media Release No. 107 2008: Treasurer Directs the AOFM to Invest in RMBS |
3 October 2008 |
Operational Notice: Arrangements for the Purchase of Residential Mortgage Backed Securities |
29 September 2008 |
Treasurer Media Release No. 105 2008: Government Initiative to Support Competition in Mortgage Market |
26 September 2008 |
Operational Notice: Shortselling of Commonwealth Government Securities |
22 September 2008 |
Operational Notice: Treasury Bond Issuance - December Quarter 2008 |
22 September 2008 |
Operational Notice: Changes to Securities Lending Facility |
11 August 2008 |
Operational Notice: Interest Rate Swaps |
22 July 2008 |
Operational Notice: AOFM Investment Activity 2008-09 |
22 July 2008 |
Operational Notice: Treasury Bond Issuance and Tender Arrangements |
16 July 2008 |
Operational Notice: Treasury Bond Issuance |
20 May 2008 |
Treasurer Media Release No. 58 2008: Increasing Commonwealth Government Securities to Bolster Australia's Financial Markets |
20 May 2008 |
Operational Notice: Treasury Bond Issuance Calendar |
14 May 2008 |
Operational Notice: New Information Memoranda for Treasury Notes and Treasury Bonds |
6 December 2007 |
Operational Notice: 2007-08 Interest Rate Swap Programme |
3 July 2007 |
Operational Notice: Treasury Bond Issuance Calendar |
9 May 2007 |
Operational Notice: Establishment of Investment Facility Dealing Panel |
9 February 2007 |
Operational Notice: New Arrangements for Tenders of Commonwealth Government Securities |
17 October 2006 |
Operational Notice: 2006-07 Australian Dollar Interest Rate Swap Programme |
5 July 2006 |
Operational Notice: New arrangements for tenders of Commonwealth Government Securities |
19 May 2006 |
Operational Notice: Treasury Bond Issuance Calendar |
10 May 2006 |
Operational Notice: Tender Arrangements for the issue of Commonwealth Government Securities |
13 July 2005 |
Operational Notice: 2005-06 Australian Dollar Interest Rate Swap Program |
13 July 2005 |
Operational Notice: 2004-05
Interest Rate Swap Program |
12 May 2005 |
Operational Notice: Debt
Issuance Calendar |
11 May 2005 |
Operational Notice: Treasury
Note Issuance Calendar |
2 May 2005 |
Operational Notice: Treasury
Note Issuance Calendar |
1 April 2005 |
Operational Notice: Treasury
Note Issuance Calendar |
1 March 2005 |
Operational Notice: Treasury
Note Issuance Calendar |
1 February 2005 |
Operational Notice: Treasury
Note Issuance Calendar |
4 January 2005 |
Operational Notice: Treasury
Note Issuance Calendar |
1 December 2004 |
Operational Notice: Treasury
Note Issuance Calendar |
1 November 2004 |
Operational Notice: Treasury
Note Issuance Calendar |
1 October 2004 |
Operational Notice:Establishment of Securities Lending
Facility for Treasury Bonds |
30 September 2004 |
Operational Notice:
Early Redemption of British Pound Denominated Loans |
22 September 2004 |
Operational Notice: Conversion
of Investment Holding of September 2004 Treasury Bond |
13 September 2004 |
Operational Notice: Treasury Note
Issuance Calendar |
1 September 2004 |
Operational Notice:
Establishment of Securities Lending Facility for Treasury Bonds |
27 August 2004 |
Operational Notice: Treasury Note
Issuance Calendar |
2 August 2004 |
Operational Notice:
2004-05 Australian Dollar Interest Rate Swap Program |
12 July 2004 |
Operational Notice: Regular Transfer
under the Portfolio Management Framework |
2 July 2004 |
Operational Notice: Treasury Note
Issuance Calendar |
2 July 2004 |
Operational Notice: Treasury Note
Issuance Calendar |
1 June 2004 |
Operational Notice: Treasury Bond
Issuance Calendar |
12 May 2004 |
Operational Notice: Treasury Note
Issuance Calendar |
3 May 2004 |
Operational Notice: Treasury Note
Issuance Calendar |
1 April 2004 |
Operational Notice: Treasury Note
Issuance Calendar |
2 March 2004 |
Operational Notice: Termination
of Cross Currency Swaps |
1 March 2004 |
Operational Notice: Procedures
for Execution of Australian Dollar Interest Rate Swaps |
20 February 2004 |
Operational Notice: Treasury Note
Issuance Calendar |
2 February 2004 |
Operational Notice: Treasury Note
Issuance Calendar |
12 January 2004 |
Operational Notice: Treasury Note
Issuance Calendar |
12 December 2003 |
Operational Notice: Treasury Bond
Issuance Calendar |
19 November 2003 |
Operational Notice: Treasury Note
Issuance Calendar |
4 November 2003 |
Operational Notice: Procedure for
Execution of Australian Dollar Interest Rate Swaps |
8 October 2003 |
Operational Notice: Treasury Note
Issuance Calendar |
1 October 2003 |
Operational Notice:
Rules Governing Transfers Between Long Term Debt Portfolio and Cash Management
Portfolio |
18 September 2003 |
Press Release:
Commonwealth Debt Portfolio Interest Rate Benchmark Review and 2003-04
Interest Rate Swap Program |
18 September 2003 |
Operational Notice: Treasury Note
Issuance Calendar |
2 September 2003 |
Operational Notice:
Unwind of Commonwealth Cross Currency Swap Portfolio |
28 August 2003 |
Operational Notice: Treasury Note
Issuance Calendar |
1 August 2003 |
Operational Notice: Treasury
Note Issuance Calendar |
1 July 2003 |
Operational Notice:
Treasury Fixed Coupon Bond Issuance Calendar |
17 June 2003 |
Operational Notice: Treasury
Note Issuance Calendar |
2 June 2003 |
Operational Notice: Treasury Bond
Issuance |
14 May 2003 |
Operational Notice: Treasury Note
Issuance Calendar |
2 May 2003 |
Treasury
Press Release: Resignation of Chief Executive Officer of the AOFM |
3 April 2003 |
Operational Notice: Treasury
Note Issuance Calendar |
1 April 2003 |
Operational Notice: Treasury
Note Issuance Calendar |
3 March 2003 |
Operational Notice: Treasury
Note Issuance Calendar |
3 February 2003 |
Operational Notice: Treasury
Note Issuance Calendar |
6 January 2003 |
Operational Notice:
Treasury Fixed Coupon Bond Issuance Calendar |
10 December 2002 |
Operational Notice:
Treasury Note Issuance Calendar |
2 December 2002 |
Operational Notice: Treasury
Note Issuance |
13 November 2002 |
Euroclear Notification of Early Redemption
of Commonwealth Government Securities |
21 August 2002 |
Treasury Bond Conversion Tender Announcement
- Conversion Tender Number 4 |
9 July 2002 |
Planned Debt Management Activities in
2002-03 |
9 July 2002 |
Changes to issuance arrangements for Treasury
Notes |
15 May 2002 |
Treasury Bond Conversion Tender Announcement
- Conversion Tender Number 3 |
9 April 2002 |
Treasury
Press Release: Foreign Exchange Exposure in Commonwealth Debt
Portfolio |
22 February 2002 |
Interest Rate Swap Transactions |
19 February 2002 |
Amendment to Terms and Conditions for
Commonwealth Government Securities (CGS) |
18 February 2002 |
Treasury Bond Conversion Tender Announcement
- Conversion Tender Number 2 |
22 January 2002 |
Treasury Bond Conversion Tender Announcement
- Conversion Tender Number 1 |
16 October 2001 |
Bond Conversion Tenders |
27 September 2001 |
Schedule of Planned Treasury Bond and
Treasury Indexed Bond Tenders for 2001-02 |
29 June 2001 |
2000 - 01 Treasury Indexed Bond Programme |
10 July 2000 |
Proposed changes to the Commonwealth's
Short-term Funding Instrument - Treasury Notes |
26 June 2000 |
Changes to the timing of Treasury Bond,
Treasury Indexed Bond and Treasury Note tenders |
22 March 2000 |
Statement from Mr Michael Allen, Chief
Executive Designate, Australian Office of Financial Management |
9 March 2000 |
Treasury Press Release:
Appointment of the Chief Executive, Australian Office of Financial Management |
9 March 2000 |
Commonwealth Government Securities' Tenders |
30 November 1999 |
Commonwealth Debt Management 1998-99 |
18 October 1999 |