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
BS25123E

26 May 2026
BY25103W

20 Oct 2026
N522100N
2.875%
01 Sep 2027
NZ10100F
2.875%
01 Sep 2030
NZ16100X
2.250%
01 Aug 2036
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
21 Nov 20251.371.35102.831.26105.631.64102.302.01102.792.03112.102.02124.832.09122.022.24
24 Nov 20251.371.35102.741.30105.371.70101.852.06102.202.07111.252.07123.752.13120.652.28
25 Nov 20251.371.35102.671.34105.211.73101.482.09101.782.11110.582.11123.002.16119.662.31
26 Nov 20251.371.35102.571.39104.961.78100.992.15101.162.16109.802.15122.032.21118.362.35
27 Nov 20251.371.35102.561.40104.951.79100.902.16101.122.16109.862.15122.052.20118.332.35
28 Nov 20251.371.35102.591.38105.091.75101.272.12101.592.12110.382.12122.752.17119.322.32
  • * 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
BS25123E

26 May 2026
BY25103W

20 Oct 2026
N522100N
2.875%
01 Sep 2027
NZ10100F
2.875%
01 Sep 2030
NZ16100X
2.250%
01 Aug 2036
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
21 Nov 2025------105.74105.74----------
24 Nov 2025------------------
25 Nov 2025------105.40105.33----------
26 Nov 2025------------------
27 Nov 2025------------------
28 Nov 2025------105.00105.00101.30101.30----123.25122.70--
  • * 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).