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T-BONDS No CODE ISSUE DATE MATURITY DATE COUPON RATE YIELD TM
FXD2/2024/5Yrs (Re-opened)TREASURY RW000A3LWSY7 20-Jun-2024 16-Mar-2029 12.00% 11.99%
FXD3/2024/10Yrs (Re-opened)TREASURY RW000A3LY3W9 18-Sep-2024 05-May-2034 12.98% 12.97%
FXD4/2024/5YrsTREASURY RW000A3L2V96 16-Aug-2024 10-Aug-2029 11.85% 11.85%
FXD5/2024/15Yrs (Re-opened)TREASURY RW000A3L2WA0 13-Nov-2024 29-Jul-2039 13.15% 13.14%
FXD6/2024/7YRS (Re-opened)TREASURY RW000A3L5FN1 15-Jan-2025 17-Oct-2031 11.95% 11.93%
FXD7/2024/3Yrs (Re-opened)TREASURY RW000A3L6GG1 19-Mar-2025 12-Nov-2027 11.30% 10.50%
FXD8/2024/20Yrs (Re-opened)TREASURY RW000A3L7RS1 14-May-2025 25-Nov-2044 13.27% 13.00%
FXD1/2025/10YrsTREASURY RW000A4EAQ16 24-Apr-2025 13-Apr-2035 12.15% 12.15%
FXD2/2025/5YrsTREASURY RW000A4EDGG2 18-Jun-2025 14-Jun-2030 11.00% 11.00%
FXD4/2025/3YrsTREASURY RW000A4EFU49 13-Aug-2025 19-Aug-2028 10.50% 10.50%