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Available Government Securities

As of Feb 17, 2020 10:40 am

Treasury Bills

Instrument Name Term (Days) Maturity
TBILL 042920 71 29 Apr 2020
TBILL 061020 113 10 Jun 2020
TBILL 062420 127 24 Jun 2020
TBILL 072920 162 29 Jul 2020
TBILL 010621 323 6 Jan 2021
TBILL 012721 344 27 Jan 2021

Treasury Bonds

Instrument Name Term (Years) Maturity
RTB 3-10 2.98 11 Feb 2023
RTB 5-12 4.07 12 Mar 2024
FXTN 7-62 5.99 14 Feb 2026
FXTN 10-63 8.09 22 Mar 2028
FXTN 20-17 11.42 19 Jul 2031
FXTN 20-23 18.93 24 Jan 2039

Note: Volume is subject to availability in the market.

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