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Redemption requests – Schedule B
Schedule B Manitoba HydroBonds matured series 1 through series 12 procedures for handling redemption requests.
Series 1 through 6 certificated series HydroBonds have matured and may be presented to your financial institution for redemption at any time.
Floating rate compound interest bonds will include the principal amount plus accrued interest to maturity. Tables of redemption amounts for each series of matured bonds are attached as Schedules 1 and 2 .
Floating rate annual bonds , fixed rate annual bonds and monthly interest bonds are redeemable for the principal amount only. Interest on these bonds was paid out on the interest payment dates.
Discount compound bonds are to be cleared for the face value. These bonds were originally purchased at a discount.
Series 7 through 12 non certificated series HydroBonds have matured. Principal and interest was deposited on the maturity date into the financial institution specified on your application form.
Floating rate compound interest bonds included the principal amount plus accrued interest to maturity.
Floating rate annual bonds , fixed rate annual bonds and monthly interest bonds are redeemable for the principal amount only. Interest on these bonds was paid out on the interest payment dates.
Discount compound bonds are to be cleared for the face value. These bonds were originally purchased at a discount.
The Registrar for Manitoba is:
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Series 3 – Schedule 1: Date of issue June 15, 1991
Investment year
Rate
1
9.25%
2
8.00%
3
8.00%
4
8.00%
5
8.00%
Series 3 – Schedule 1: Redemption amounts (including interest)
Principal amount
Annual interest bonds
Compound interest bonds
Monthly interest bonds
100
$100.00
$148.63
$100.00
200
200.00
297.27
200.00
300
300.00
445.90
300.00
400
400.00
594.53
400.00
500
500.00
743.17
500.00
600
600.00
891.80
600.00
700
700.00
1,040.43
700.00
800
800.00
1,189.07
800.00
900
900.00
1,337.70
900.00
1,000
1,000.00
1,486.33
1,000.00
2,000
2,000.00
2,972.67
2,000.00
3,000
3,000.00
4,459.00
3,000.00
4,000
4,000.00
5,945.34
4,000.00
5,000
5,000.00
7,431.67
5,000.00
6,000
6,000.00
8,918.01
6,000.00
7,000
7,000.00
10,404.34
7,000.00
8,000
8,000.00
11,890.67
8,000.00
9,000
9,000.00
13,377.01
9,000.00
10,000
10,000.00
14,863.34
10,000.00
20,000
20,000.00
29,726.68
20,000.00
30,000
30,000.00
44,590.03
30,000.00
40,000
40,000.00
59,453.37
40,000.00
50,000
50,000.00
74,316.71
50,000.00
100,000
100,000.00
148,633.42
100,000.00
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Series 4 – Schedule 1: Date of issue June 15, 1992
Investment year
Rate
1
7.25%
2
7.00%
3
7.00%
4
7.25%
5
7.00%
Series 4 – Schedule 1: Redemption amounts (including interest)
Principal amount
Annual interest bonds
Compound interest bonds
Monthly interest bonds
100
$100.00
$140.91
$100.00
200
200.00
281.82
200.00
300
300.00
422.73
300.00
400
400.00
563.65
400.00
500
500.00
704.56
500.00
600
600.00
845.47
600.00
700
700.00
986.38
700.00
800
800.00
1,127.29
800.00
900
900.00
1,268.20
900.00
1,000
1,000.00
1,409.11
1,000.00
2,000
2,000.00
2,818.23
2,000.00
3,000
3,000.00
4,227.34
3,000.00
4,000
4,000.00
5,636.45
4,000.00
5,000
5,000.00
7,045.57
5,000.00
6,000
6,000.00
8,454.68
6,000.00
7,000
7,000.00
9,863.79
7,000.00
8,000
8,000.00
11,272.91
8,000.00
9,000
9,000.00
12,682.02
9,000.00
10,000
10,000.00
14,091.13
10,000.00
20,000
20,000.00
28,182.27
20,000.00
30,000
30,000.00
42,273.40
30,000.00
40,000
40,000.00
56,364.53
40,000.00
50,000
50,000.00
70,455.67
50,000.00
100,000
100,000.00
140,911.34
100,000.00
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Series 5 – Schedule 2: Date of issue June 15, 1996
Investment year
Rate
June 15, 1996 to June 15, 1997
5.00%
June 15, 1997 to June 15, 1998
5.00%
June 15, 1998 to June 15, 1999
5.00%
June 15, 1999 to June 15, 2000
5.00%
June 15, 2000 to Dec. 15, 2000
5.75%
Dec. 15, 2000 to June 15, 2001
5.50%
Series 5 bonds matured June 15, 2001.
Series 5 – Schedule 2: Redemption amounts (including interest)
Principal amount
Annual interest bonds
Compound interest bonds
Monthly interest bonds
100
$100.00
$128.39
$100.00
200
200.00
256.78
200.00
300
300.00
385.16
300.00
400
400.00
513.55
400.00
500
500.00
641.94
500.00
600
600.00
770.33
600.00
700
700.00
898.71
700.00
800
800.00
1,027.10
800.00
900
900.00
1,155.49
900.00
1,000
1,000.00
1,283.88
1,000.00
2,000
2,000.00
2,567.76
2,000.00
3,000
3,000.00
3,851.64
3,000.00
4,000
4,000.00
5,135.51
4,000.00
5,000
5,000.00
6,419.39
5,000.00
6,000
6,000.00
7,703.27
6,000.00
7,000
7,000.00
8,987.15
7,000.00
8,000
8,000.00
10,271.03
8,000.00
9,000
9,000.00
11,554.91
9,000.00
10,000
10,000.00
12,838.78
10,000.00
20,000
20,000.00
25,677.57
20,000.00
30,000
30,000.00
38,516.35
30,000.00
40,000
40,000.00
51,355.14
40,000.00
50,000
50,000.00
64,193.92
50,000.00
100,000
100,000.00
128,387.85
100,000.00
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Series 6 – Schedule 2: Date of issue June 15, 1997
Investment year
Rate
June 15, 1997 to Dec. 15, 1997
3.125%
Dec. 15, 1997 to June 15, 1998
3.750%
June 15, 1998 to Dec. 15, 1998
4.750%
Dec. 15, 1998 to June 15, 1999
4.500%
June 15, 1999 to Dec. 15, 1999
4.350%
Dec. 15, 1999 to June 15, 2000
4.750%
June 15, 2000 to Dec. 15, 2000
5.750%
Dec. 15, 2000 to June 15, 2001
5.500%
June 15, 2001 to Dec. 15, 2001
4.000%
Dec. 15, 2001 to June 15, 2002
2.000%
All of Series 6 has now matured and is redeemable.
Series 6 – Schedule 2: Redemption amounts (including interest)
Principal amount
Floating rate compound
Floating rate annual
Fixed rate annual
Discount compound
100
$123.10
$100.00
$100.00
$100.00
200
246.19
200.00
200.00
200.00
300
369.29
300.00
300.00
300.00
400
492.38
400.00
400.00
400.00
500
615.48
500.00
500.00
500.00
600
738.57
600.00
600.00
600.00
700
861.67
700.00
700.00
700.00
800
984.76
800.00
800.00
800.00
900
1,107.86
900.00
900.00
900.00
1,000
1,230.95
1,000.00
1,000.00
1,000.00
2,000
2,461.91
2,000.00
2,000.00
2,000.00
3,000
3,692.86
3,000.00
3,000.00
3,000.00
4,000
4,923.81
4,000.00
4,000.00
4,000.00
5,000
6,154.76
5,000.00
5,000.00
5,000.00
6,000
7,385.72
6,000.00
6,000.00
6,000.00
7,000
8,616.67
7,000.00
7,000.00
7,000.00
8,000
9,847.62
8,000.00
8,000.00
8,000.00
9,000
11,078.58
9,000.00
9,000.00
9,000.00
10,000
12,309.53
10,000.00
10,000.00
10,000.00
20,000
24,619.06
20,000.00
20,000.00
20,000.00
30,000
36,928.59
30,000.00
30,000.00
30,000.00
40,000
49,238.12
40,000.00
40,000.00
40,000.00
50,000
61,547.65
50,000.00
50,000.00
50,000.00
100,000
123,095.30
100,000.00
100,000.00
100,000.00
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Series 7 – Schedule 3: Date of issue June 15, 2001
Investment year
Rate
June 15, 2001 to Dec. 15, 2001
4.00%
Dec. 15, 2001 to June 15, 2002
2.00%
June 15, 2002 to Dec. 15, 2002
2.50%
Dec. 15, 2002 to June 15, 2003
2.50%
June 15, 2003 to Dec. 15, 2003
3.00%
Dec. 15, 2003 to June 15, 2004
2.40%
June 15, 2004 to Dec. 15, 2004
1.80%
Dec. 15, 2004 to June 15, 2005
2.25%
June 15, 2005 to Dec. 15, 2005
2.25%
Dec. 15, 2005 to June 15, 2006
3.10%
All of Series 7 has now matured and is redeemable.
5-year floating rate compound matured June 15, 2006;
5-year floating rate annual matured June 15, 2006;
3-year fixed rate annual matured June 15, 2004;
5-year discount compound matured June 15, 2006.
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Series 8 – Schedule 3: Date of issue June 15, 2002
Investment year
Rate
June 15, 2002 to June 15, 2003
3.10%
June 15, 2003 to June 15, 2004
3.15%
June 15, 2004 to June 15, 2005
2.10%
June 15, 2005 to June 15, 2006
2.60%
June 15, 2006 to June 15, 2007
4.00%
All of Series 8 has now matured and is redeemable.
5-year floating rate annual matured June 15, 2007;
3-year fixed rate annual matured June 15, 2005;
5-year fixed rate annual matured June 15, 2007;
5-year fixed rate compound matured June 15, 2007.
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Series 9 – Schedule 4: Date of issue June 15, 2006
Investment year
Rate
June 15, 2006 to June 15, 2007
4.00%
June 15, 2007 to June 15, 2008
4.20%
June 15, 2008 to June 15, 2009
2.40%
June 15, 2009 to June 15, 2010
1.00%
June 15, 2010 to June 15, 2011
1.50%
All of Series 9 has now matured and is redeemable. These amounts are paid by direct deposit only.
5-year floating rate annual matured June 15, 2011;
3-year fixed rate annual matured June 15, 2009 (4.15%);
5-year fixed rate annual matured June 15, 2011 (4.35%);
5-year fixed rate compound matured June 15, 2011 (4.35%).
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Series 10 – Schedule 4: Date of issue June 15, 2007
Investment year
Rate
June 15, 2007 to June 15, 2008
4.20%
June 15, 2008 to June 15, 2009
2.40%
June 15, 2009 to June 15, 2010
1.00%
June 15, 2010 to June 15, 2011
1.50%
June 15, 2011 to June 15, 2012
1.75%
All of Series 10 has now matured and is redeemable. These amounts are paid by direct deposit only.
5-year floating rate annual matured June 15, 2012;
3-year fixed rate annual matured June 15, 2010 (4.60%);
5-year fixed rate annual matured June 15, 2012 (4.65%);
5-year fixed rate compound matured June 15, 2012 (4.65%).
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Series 11 – Schedule 5: Date of issue June 15, 2011
Investment year
Rate
June 15, 2011 to June 15, 2012
1.75%
June 15, 2012 to June 15, 2013
1.75%
June 15, 2013 to June 15, 2014
1.60%
June 15, 2014 to June 15, 2015
1.75%
June 15, 2015 to June 15, 2016
1.25%
All of Series 11 has now matured and is redeemable. These amounts are paid by direct deposit only.
5-year floating rate annual matured June 15, 2016;
3-year fixed rate annual matured June 15, 2014 (2.30%);
5-year fixed rate annual matured June 15, 2016 (2.75%);
5-year fixed rate compound matured June 15, 2016 (2.75%).
Series 11 – Schedule 5: Redemption amounts (including interest)
Principal amount
5-year floating rate annual
3-year fixed rate annual (2.30%)
5-year fixed rate annual (2.75%)
5-year fixed rate compound (2.75%)
$100
$100.00
$100.00
$100.00
$114.53
200
200.00
200.00
200.00
229.05
300
300.00
300.00
300.00
343.58
400
400.00
400.00
400.00
458.11
500
500.00
500.00
500.00
572.64
600
600.00
600.00
600.00
687.16
700
700.00
700.00
700.00
801.69
800
800.00
800.00
800.00
916.22
900
900.00
900.00
900.00
1,030.75
1,000
1,000.00
1,000.00
1,000.00
1,145.27
2,000
2,000.00
2,000.00
2,000.00
2,290.55
3,000
3,000.00
3,000.00
3,000.00
3,435.82
4,000
4,000.00
4,000.00
4,000.00
4,581.09
5,000
5,000.00
5,000.00
5,000.00
5,726.37
6,000
6,000.00
6,000.00
6,000.00
6,871.64
7,000
7,000.00
7,000.00
7,000.00
8,016.91
8,000
8,000.00
8,000.00
8,000.00
9,162.19
9,000
9,000.00
9,000.00
9,000.00
10,307.46
10,000
10,000.00
10,000.00
10,000.00
11,452.73
20,000
20,000.00
20,000.00
20,000.00
22,905.47
30,000
30,000.00
30,000.00
30,000.00
34,358.20
40,000
40,000.00
40,000.00
40,000.00
45,810.93
50,000
50,000.00
50,000.00
50,000.00
57,263.67
100,000
100,000.00
100,000.00
100,000.00
114,527.33
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Series 12 – Schedule 5: Date of issue June 15, 2013
Investment year
Rate
June 15, 2013 to June 15, 2014
1.60%
June 15, 2014 to June 15, 2015
1.75%
June 15, 2015 to June 15, 2016
1.25%
June 15, 2016 to June 15, 2017
1.10%
June 15, 2017 to June 15, 2018
0.75%
All of Series 12 has now matured and is redeemable. These amounts are paid by direct deposit only.
5-year floating rate annual matured June 15, 2018;
3-year fixed rate annual matured June 15, 2016 (1.65%);
5-year fixed rate annual matured June 15, 2018 (1.75%);
5-year fixed rate compound matured June 15, 2018 (1.75%).
Series 12 – Schedule 5: Redemption amounts (including interest)
Principal amount
5-year floating rate annual (see above)
3-year fixed rate annual (1.65%)
5-year fixed rate annual (1.75%)
5-year fixed rate compound (1.75%)
$100
$100.00
$100.00
$100.00
$109.06
200
200.00
200.00
200.00
218.12
300
300.00
300.00
300.00
327.18
400
400.00
400.00
400.00
436.25
500
500.00
500.00
500.00
545.31
600
600.00
600.00
600.00
654.37
700
700.00
700.00
700.00
763.43
800
800.00
800.00
800.00
872.49
900
900.00
900.00
900.00
981.55
1,000
1,000.00
1,000.00
1,000.00
1,090.62
2,000
2,000.00
2,000.00
2,000.00
2,181.23
3,000
3,000.00
3,000.00
3,000.00
3,271.85
4,000
4,000.00
4,000.00
4,000.00
4,362.47
5,000
5,000.00
5,000.00
5,000.00
5,453.08
6,000
6,000.00
6,000.00
6,000.00
6,543.70
7,000
7,000.00
7,000.00
7,000.00
7,634.32
8,000
8,000.00
8,000.00
8,000.00
8,724.93
9,000
9,000.00
9,000.00
9,000.00
9,815.55
10,000
10,000.00
10,000.00
10,000.00
10,906.17
20,000
20,000.00
20,000.00
20,000.00
21,812.33
30,000
30,000.00
30,000.00
30,000.00
32,718.50
40,000
40,000.00
40,000.00
40,000.00
43,624.56
50,000
50,000.00
50,000.00
50,000.00
54,530.83
100,000
100,000.00
100,000.00
100,000.00
109,061.66
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