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Available Government Securities

As of May 21, 2019 10:02 am

Treasury Bills

Instrument Name Term (Days) Maturity
TBILL 071019 49 10 Jul 2019
TBILL 081419 84 14 Aug 2019
TBILL 100219 133 2 Oct 2019
TBILL 103019 161 30 Oct 2019
TBILL 111319 175 13 Nov 2019
TBILL 011520 238 15 Jan 2020
TBILL 012220 245 22 Jan 2020
TBILL 012920 252 29 Jan 2020
TBILL 020520 259 5 Feb 2020
TBILL 021220 266 12 Feb 2020
TBILL 031120 294 11 Mar 2020
TBILL 040120 315 1 Apr 2020

Treasury Bonds

Instrument Name Term (Years) Maturity
FXTN 7-56 0.51 22 Nov 2019
RTB 3-8 0.89 11 Apr 2020
RTB 5-12 4.81 12 Mar 2024
FXTN 7-61 5.89 12 Apr 2025
FXTN 7-62 6.74 14 Feb 2026
FXTN 10-63 8.84 22 Mar 2028
FXTN 10-64 9.64 10 Jan 2029
FXTN 20-23 19.68 24 Jan 2039

Note: Volume is subject to availability in the market.

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