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Available Government Securities

As of Jun 17, 2021 9:30 am

Treasury Bills

Instrument NameTerm (Days)Maturity
TBILL 0915218915 Sep 2021
TBILL 1006211106 Oct 2021
TBILL 10202112420 Oct 2021
TBILL 10272113127 Oct 2021
TBILL 1207211727 Dec 2021
TBILL 12152118015 Dec 2021
TBILL 0608223558 Jun 2022
TBILL 06152236215 Jun 2022

Treasury Bonds

Instrument NameTerm (Years)Maturity
RTB 03-112.769 Mar 2024
FXTN 20-168.927 May 2030
FXTN 20-1810.62 Feb 2032
RTB 20-0110.711 Mar 2032
FXTN 20-1911.327 Sep 2032
FXTN 20-2011.821 Mar 2033
FXTN 25-0814.516 Dec 2035
FXTN 25-0915.329 Sep 2036
RTB 25-0116.424 Oct 2037

Note: Volume is subject to availability in the market.

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