SGS Treasury Bills and CMTBs Prices and Yields - All Issues by Issue Code


Buying Rates of Singapore Government Securities (Closing)
Issue
Code
ISIN
Code
Maturity
Date
Issue
Size
(S$M)
Original Maturity: 6 Months
BS24109ASGXZ2501196612 Nov 20246800
BS24110TSGXZ1243888326 Nov 20247000
BS24111XSGXZ8110532210 Dec 20247100
BS24112WSGXZ2901128524 Dec 20246600
BS24113NSGXZ2944725707 Jan 20256500
BS24114VSGXZ5722523721 Jan 20256800
BS24115ASGXZ9353599504 Feb 20256800
BS24116ESGXZ1920240718 Feb 20256900
BS24117FSGXZ5666037604 Mar 20256800
BS24118ZSGXZ7186404518 Mar 20256900
BS24119SSGXZ2362757301 Apr 20256800
BS24120VSGXZ8793495615 Apr 20256800
BS24121ASGXZ6529996829 Apr 20256800
Original Maturity: 1 Year
BY24100TSGXZ8928102628 Jan 20254500
BY24101XSGXZ8044741022 Apr 20255100
BY24102WSGXZ3118250429 Jul 20255100
BY24103NSGXZ7315555821 Oct 20255200
Matured Issues
BS23109ESGXZ7404576614 Nov 20235000
BS23110XSGXZ8910911028 Nov 20235300
BS23111WSGXZ3859260612 Dec 20235200
BS23112NSGXZ1831644826 Dec 20235000
BS23113VSGXZ1461916709 Jan 20245400
BS23114ASGXZ4233214823 Jan 20245600
BA24100ESGXZ3825641825 Jan 202450
BY23100XSGXZ7777030330 Jan 20243600
BS23115ESGXZ6814522606 Feb 20245500
BS23116FSGXZ8420074020 Feb 20245600
BS23117ZSGXZ8755998505 Mar 20245500
BS23118SSGXZ2299601119 Mar 20245500
BS23119HSGXZ9544905402 Apr 20245300
BS23120ASGXZ1769560216 Apr 20245400
BY23101WSGXZ1917212123 Apr 20244300
BS23121ESGXZ3561400730 Apr 20245700
BS23122FSGXZ6608785914 May 20245700
BS23123ZSGXZ4163448628 May 20246000
BS23124SSGXZ8561976511 Jun 20245900
BS23125HSGXZ9725203525 Jun 20245600
BS24100FSGXZ1487075209 Jul 20246100
BS24101ZSGXZ6413302823 Jul 20246400
BY23102NSGXZ9404986330 Jul 20244400
BS24102SSGXZ3263693806 Aug 20246300
BS24103HSGXZ5030446820 Aug 20246600
BS24104TSGXZ4873407303 Sep 20246400
BS24105XSGXZ4770484617 Sep 20246300
BS24106WSGXZ8858582301 Oct 20246100
BS24107NSGXZ9375148515 Oct 20246300
BY23103VSGXZ5077454622 Oct 20244500
BS24108VSGXZ8350192429 Oct 20246600
B : Benchmark Issue