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Available Government Securities

As of Jan 14, 2022 10:00 am

Treasury Bills

Instrument NameTerm (Days)Maturity
TBILL 030922519 Mar 2022
TBILL 0504221074 May 2022
TBILL 0706221706 Jul 2022
TBILL 10262228226 Oct 2022
TBILL 0104233524 Jan 2023

Treasury Bonds

Instrument NameTerm (Years)Maturity
RTB 03-112.159 Mar 2024
RTB 05-133.5812 Aug 2025
FXTN 07-624.1014 Feb 2026
FXTN 05-774.208 Apr 2026
FXTN 10-615.304 May 2027
RTB 05-145.382 Jun 2027
FXTN 10-636.2022 Mar 2028
FXTN 07-646.3022 Apr 2028
FXTN 07-656.6012 Aug 2028
FXTN 10-647.0010 Jan 2029
FXTN 10-658.509 Jul 2030
FXTN 20-179.5019 Jul 2031
FXTN 10-669.5022 Jul 2031
FXTN 20-2317.0024 Jan 2039
FXTN 25-1118.709 Sep 2040
FXTN 20-2419.509 Sep 2040

Note: Volume is subject to availability in the market.

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