Manitoba HydroBonds

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Bond redemption

Upon maturity the proceeds due to the bondholder are automatically deposited into the bondholder's bank account. Whatever financial information is on file with the Trustee on May 31 will be where the funds are deposited.

View June redemption information.

The Trustee must receive notification of changes to banking information at least one week prior to May 31. If a bondholder passes away the Trustee must be contacted.

Note: Series 1 through 6 had actual bond certificates that had to be presented at a financial institution to be cashed. This can be done on or after the maturity date.

To change any personal information such as address or bank information, contact the appropriate Trustee either by mail or by fax.

For further information contact CST Trust Company at 1-800-591-8254.

For further information regarding Builder Bonds visit the Province of Manitoba website.

Interest rate information

View Schedules.

Series 1
Year Investment period Monthly interest Annual interest
1 1989 06 15 to 1990 06 15 10.71% 11.25%
2 1990 06 15 to 1991 06 15 11.61% 12.25%
3 1991 06 15 to 1992 06 15 9.57% 10.00%
Maturity date 1992 06 15
Minimum guaranteed rate 9.57% 10.00%

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Series 2
Year Investment period Monthly interest Annual interest
1 1990 06 15 to 1991 06 15 11.61% 12.25%
2 1991 06 15 to 1992 06 15 8.88% 9.25%
3 1992 06 15 to 1993 06 15 8.65% 9.00%
Maturity date 1993 06 15
Minimum guaranteed rate 8.65% 9.00%

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Series 3
Year Investment period Monthly interest Annual interest Compound interest
1 1991 06 15 to 1992 06 15 8.88% 9.25% 9.25%
2 1992 06 15 to 1993 06 15 7.72% 8.00% 8.00%
3 1993 06 15 to 1994 06 15 7.72% 8.00% 8.00%
4 1994 06 15 to 1995 06 15 7.72% 8.00% 8.00%
5 1995 06 15 to 1996 06 15 7.72% 8.00% 8.00%
Maturity date 1996 06 15
Minimum guaranteed rate 7.72% 8.00% 8.00%

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Series 4
Year Investment period Monthly interest Annual interest Compound interest
1 1992 06 15 to 1993 06 15 7.02% 7.25% 7.25%
2 1993 06 15 to 1994 06 15 6.78% 7.00% 7.00%
3 1994 06 15 to 1995 06 15 6.78% 7.00% 7.00%
4 1995 06 15 to 1996 06 15 7.02% 7.25% 7.25%
5 1996 06 15 to 1997 06 15 6.78% 7.00% 7.00%
Maturity date 1997 06 15
Minimum guaranteed rate 6.78% 7.00% 7.00%

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Series 5
Year Investment period Monthly interest Annual interest Compound interest
1 1996 06 15 to 1997 06 15 4.89% 5.00% 5.00%
2 1997 06 15 to 1998 06 15 4.89% 5.00% 5.00%
3 1998 06 15 to 1999 06 15 4.89% 5.00% 5.00%
4 1999 06 15 to 1999 12 15 4.89% 5.00% 5.00%
  1999 12 15 to 2000 06 15 4.89% 5.00% 5.00%
5 2000 06 15 to 2000 12 15 5.60% 5.75% 5.75%
  2000 12 15 to 2001 06 15 5.37% 5.50% 5.50%
Maturity date 2001 06 15
Minimum guaranteed rate 4.89% 5.00% 5.00%

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Series 6 fixed rate
Year Investment period Rate
1 1997 06 15 to 1998 06 15 5.25%
2 1998 06 15 to 1999 06 15 5.25%
3 1999 06 15 to 2000 06 15 5.25%
Maturity date 2000 06 15

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Series 6 floating rate*
Investment period Rate
* May be paid interest on an annual or compound basis.
1997 06 15 to 1997 12 15 3.125%
1997 12 15 to 1998 06 15 3.75%
1998 06 15 to 1998 12 15 4.75%
1998 12 15 to 1999 06 15 4.50%
1999 06 15 to 1999 12 15 4.35%
1999 12 15 to 2000 06 15 4.75%
2000 06 15 to 2000 12 15 5.75%
2000 12 15 to 2001 06 15 5.50%
2001 06 15 to 2001 12 15 4.00%
2001 12 15 to 2002 06 15 2.00%
Maturity date 2002 06 15

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Series 6 discount compound
Purchase price Compound interest
$74.55 per $100.00 6.05%
Maturity date 2002 06 15

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Series 7 fixed rate
Year Investment period Rate
1 2001 06 15 to 2002 06 15 5.50%
2 2002 06 15 to 2003 06 15 5.50%
3 2003 06 15 to 2004 06 15 5.50%
Maturity date 2004 06 15

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Series 7 floating rate*
Investment period Rate
* May be paid interest on an annual or compound basis.
2001 06 15 to 2001 12 15 4.00%
2001 12 15 to 2002 06 15 2.00%
2002 06 15 to 2002 12 15 2.50%
2002 12 15 to 2003 06 15 2.50%
2003 06 15 to 2003 12 15 3.00%
2003 12 15 to 2004 06 15 2.40%
2004 06 15 to 2004 12 15 1.80%
2004 12 15 to 2005 06 15 2.25%
2005 06 15 to 2005 12 15 2.25%
2005 12 15 to 2006 06 15 3.10%
Maturity date 2006 06 15

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Series 7 discount compound
Purchase price Compound interest
$74.72 per $100.00 6.00%
Maturity date 2006 06 15

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Series 8 floating rate*
Investment period Rate
* Interest paid annually. Redeemable annually.
2002 06 15 to 2003 06 15 3.10%
2003 06 15 to 2004 06 15 3.15%
2004 06 15 to 2005 06 15 2.10%
2005 06 15 to 2006 06 15 2.60%
2006 06 15 to 2007 06 15 4.00%
Maturity date 2007 06 15

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Series 8: 3-year fixed rate*
Year Investment period Rate
* Interest paid annually. Non-redeemable.
1 to 3 2002 06 15 to 2005 06 15 4.75%
Maturity date 2005 06 15

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Series 8: 5-year fixed rate*
Year Investment period Rate
* May be paid interest on an annual or compound basis. Non-redeemable.
1 to 5 2002 06 15 to 2007 06 15 5.50%
Maturity date 2007 06 15

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Series 9 floating rate*
Investment period Rate
* Interest paid annually. Redeemable annually.
2006 06 15 to 2007 06 15 4.00%
2007 06 15 to 2008 06 15 4.20%
2008 06 15 to 2009 06 15 2.40%
2009 06 15 to 2010 06 15 1.00%
2010 06 15 to 2011 06 15 1.50%
Maturity date 2011 06 15

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Series 9: 3-year fixed rate*
Year Investment period Rate
* Interest paid annually. Non-redeemable.
1 to 3 2006 06 15 to 2009 06 15 4.15%
Maturity date 2009 06 15

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Series 9: 5-year fixed rate*
Year Investment period Rate
* May be paid interest on an annual or compound basis. Non-redeemable.
1 to 5 2006 06 15 to 2011 06 15 4.35%
Maturity date 2011 06 15

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Series 10 floating rate*
Investment period Rate
* Interest paid annually. Redeemable annually.
2007 06 15 to 2008 06 15 4.20%
2008 06 15 to 2009 06 15 2.40%
2009 06 15 to 2010 06 15 1.00%
2010 06 15 to 2011 06 15 1.50%
2011 06 15 to 2012 06 15 1.75%
Maturity date 2012 06 15

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Series 10: 3-year fixed rate*
Year Investment period Rate
* Interest paid annually. Non-redeemable.
1 to 3 2007 06 15 to 2010 06 15 4.60%
Maturity date 2010 06 15

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Series 10: 5-year fixed rate*
Year Investment period Rate
* May be paid interest on an annual or compound basis. Non-redeemable.
1 to 5 2007 06 15 to 2012 06 15 4.65%
Maturity date 2012 06 15

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Series 11 floating rate*
Investment period Rate
* Interest paid annually. Redeemable annually.
2011 06 15 to 2012 06 15 1.75%
2012 06 15 to 2013 06 15 1.75%
2013 06 15 to 2014 06 15 1.60%
2014 06 15 to 2015 06 15 1.75%
2015 06 15 to 2016 06 15 1.25%
Maturity date 2016 06 15

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Series 11: 3-year fixed rate*
Year Investment period Rate
* Interest paid annually. Non-redeemable.
1 to 3 2011 06 15 to 2014 06 15 2.3%
Maturity date 2014 06 15

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Series 11: 5-year fixed rate*
Year Investment period Rate
* May be paid interest on an annual or compound basis. Non-redeemable.
1 to 5 2011 06 15 to 2016 06 15 2.75%
Maturity date 2016 06 15

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Series 12 floating rate*
Investment period Rate
* Interest paid annually. Redeemable annually.
2013 06 15 to 2014 06 15 1.60%
2014 06 15 to 2015 06 15 1.75%
2015 06 15 to 2016 06 15 1.25%
2016 06 15 to 2017 06 15 1.10%
2017 06 15 to 2018 06 15 TBA
Maturity date 2018 06 15

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Series 12: 3-year fixed rate*
Year Investment period Rate
* Interest paid annually. Non-redeemable.
1 to 3 2013 06 15 to 2016 06 15 1.65%
Maturity date 2016 06 15

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Series 12: 5-year fixed rate*
Year Investment period Rate
* May be paid interest on an annual or compound basis. Non-redeemable.
1 to 5 2013 06 15 to 2018 06 15 1.75%
Maturity date 2018 06 15

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