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Available Government Securities

As of Sep 16, 2019 9:48 am

Treasury Bills

Instrument Name Term (Days) Maturity
TBILL 120419 78 4 Dec 2019
TBILL 121119 85 11 Dec 2019
TBILL 012220 127 22 Jan 2020
TBILL 021920 155 19 Feb 2019
TBILL 030420 169 4 Mar 2020
TBILL 040820 204 8 Apr 2020
TBILL 061720 274 17 Jun 2020
TBILL 081920 337 19 Aug 2020
TBILL 090220 351 2 Sep 2020

Treasury Bonds

Instrument Name Term (Years) Maturity
FXTN 7-56 0.18 22 Nov 2019
RTB 3-8 0.57 11 Apr 2020
FXTN 5-73 0.93 20 Aug 2020
FXTN 3-24 2.80 4 Jul 2022
RTB 5-11 3.22 4 Dec 2022
RTB 5-12 4.49 12 Mar 2024
FXTN 7-61 5.57 12 Apr 2025
FXTN 7-62 6.41 14 Feb 2026
FXTN 10-63 8.51 22 Mar 2028
FXTN 10-64 9.32 10 Jan 2029
FXTN 20-17 11.84 19 Jul 2031
FXTN 20-23 19.36 24 Jan 2039

Note: Volume is subject to availability in the market.

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