Daily SGS Prices

Singapore Government Securities - Benchmarks

Closing Levels

 Treasury BillsBonds
 6-Mth1-Year2-Year5-Year10-Year15-Year20-Year30-Year50-Year
Issue Code
Coupon Rate
Maturity Date
BS25113W

06 Jan 2026
BY25101T

21 Apr 2026
NZ07100S
3.500%
01 Mar 2027
N525100T
2.500%
01 Apr 2030
NX25100H
2.750%
01 Mar 2035
NY25200N
2.250%
01 Jul 2040
NA16100H
2.750%
01 Mar 2046
NA24300E
3.250%
01 Jun 2054
NC22300W
3.000%
01 Aug 2072
YieldYieldPriceYieldPriceYieldPriceYieldPriceYieldPriceYieldPriceYieldPriceYield
27 Jun 20252.001.91102.791.80103.041.83104.602.2298.982.33106.852.33118.562.36115.202.45
30 Jun 20252.001.91102.821.78103.181.80104.792.2099.262.31107.352.30119.212.33116.352.42
01 Jul 20251.911.89102.891.73103.431.74105.272.1499.892.26108.132.26120.042.30117.442.38
02 Jul 20251.901.89102.841.76103.341.76105.152.1699.822.26108.102.26120.072.30117.292.39
03 Jul 20251.861.88102.901.72103.521.72105.592.11100.482.21109.112.20121.822.22119.332.32
04 Jul 20251.851.88102.881.73103.551.72105.912.07101.352.14110.382.13123.702.15121.652.25
  • * Data reflect bid rates quoted by SGS primary dealers.
  • * Yield is quoted as % p.a.
  • * Bond price is quoted in S$ per S$100 of principal amount, excluding any applicable accrued interest (i.e. on clean basis).

High / Low Levels

 Treasury BillsBonds
 6-Mth1-Year2-Year5-Year10-Year15-Year20-Year30-Year50-Year
Issue Code
Coupon Rate
Maturity Date
BS25113W

06 Jan 2026
BY25101T

21 Apr 2026
NZ07100S
3.500%
01 Mar 2027
N525100T
2.500%
01 Apr 2030
NX25100H
2.750%
01 Mar 2035
NY25200N
2.250%
01 Jul 2040
NA16100H
2.750%
01 Mar 2046
NA24300E
3.250%
01 Jun 2054
NC22300W
3.000%
01 Aug 2072
HighLowHighLowHighLowHighLowHighLowHighLowHighLowHighLowHighLow
27 Jun 2025----102.82102.82103.11103.11----107.25107.25118.75118.75--
30 Jun 2025--------104.95104.95----119.20119.20--
01 Jul 2025----102.90102.87----------117.70117.70
02 Jul 2025------------------
03 Jul 2025----102.90102.90--105.75105.70100.45100.30109.35109.25----
04 Jul 2025----102.83102.83--106.05106.05--------
  • * Data reflects the highest/lowest transacted price in the inter-dealer market for bonds. Treasury Bills are quoted in yield terms.
  • * Yield is quoted as % p.a.
  • * Bond price is quoted in S$ per S$100 of principal amount, excluding any applicable accrued interest (i.e. on clean basis).