Advisory National Observances for the Month of November. Read here.

Available Government Securities

As of Nov 24, 2020 10:07 am

Treasury Bills

Instrument Name Term (Days) Maturity
RTB 20-01 11.27 1 Mar 2032
TBIll 021021 77 10 Feb 2021
TBILL 021721 84 17 Feb 2021
TBILL 022421 91 24 Feb 2021
TBILL 033121 126 31 Mar 2021
TBILL 050511 161 5 May 2021
TBILL 051221 168 12 May 2021
TBILL 051921 175 19 May 2021
TBILL 052621 182 26 May 2021
TBILL 100621 315 6 Oct 2021
TBILL 101321 322 13 Oct 2021
TBILL 102021 329 20 Oct 2021
TBILL 110321 343 3 Nov 2021
TBILL 111021 350 10 Nov 2021
TBILL 111721 357 17 Nov 2021
TBILL 112421 364 24 Nov 2021

Treasury Bonds

Instrument Name Term (Years) Maturity
RTB 03-09 0.55 13 Jun 2021
RTB 05-11 2.03 4 Dec 2022
RTB 3-10 2.22 11 Feb 2023
RTB 5-12 3.30 12 Mar 2024
FXTN 07-61 4.4 12 Apr 2025
RTB 05-13 4.72 12 Aug 2025
FXTN 10-60 4.8 9 Sep 2025
FXTN 10-63 7.3 22 Mar 2028
FXTN 10-64 8.1 10 Jan 2029
FXTN 20-17 10.7 19 Jul 2031
FXTN 20-23 18.2 24 Jan 2039

Note: Volume is subject to availability in the market.

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