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Treasury Bills

No.Bond Code Name #Bonds Volume Issue date Maturity date Interest Close price Last trade date
153235 B1318 T BILLS 13/2018 25,000 25,000,000 19/06/2018 19/12/2018 3.680 1,000
153237 B1518 T BILLS 15/2018 25,000 25,000,000 15/07/2018 15/01/2019 3.717 1,000
153238 B1618 T BILLS 16/2018 25,000 25,000,000 15/08/2018 15/02/2019 3.784 1,000
153239 B1718 T BILLS 17/2018 25,000 25,000,000 15/08/2018 15/08/2019 3.958 1,000
153240 B1818 T BILLS 18/2018 25,000 25,000,000 23/09/2018 23/12/2018 3.835 1,000
153241 B1918 T BILLS 19/2018 25,000 25,000,000 23/09/2018 23/03/2019 3.931 1,000
153242 B2018 T BILLS 20/2018 25,000 25,000,000 23/09/2018 23/09/2019 4.048 1,000