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Policy Rates | Exchange Rates | Interest Rates | Open Market Operations | Economic Indicators

Interest Rates

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Rates on Government Securities - Primary Market
(Per cent per annum)
Period Treasury Bills (a) Treasury Bonds (b)
End Week 91
days
182
days
364
days
02
year
03
year
04
year
05
year
06
year
10
year
15
year
20
year
                       
05.02.2010 7.99 8.93 9.46
       
28.01.2010 7.95 8.90 9.46
22.01.2010 7.86 8.86 9.41
15.01.2010 7.84 8.82 9.38 9.55 9.78 9.92
08.01.2010 7.77 8.77 9.35
01.01.2010 7.73 8.73 9.33 9.55 9.78
       
24.12.2009 7.67 8.65 9.32
18.12.2009 7.60 8.59 9.32
11.12.2009 7.51 8.50 9.26
04.12.2009 7.40 8.42 9.26
       
27.11.2009 7.25 8.33 9.17
20.11.2009 7.25 8.33 9.17
13.11.2009 7.73 8.80 9.56
06.11.2009 8.14 9.02 9.68
03.11.2009 9.55 9.78 9.92
       
30.10.2009 8.50 9.35 9.88
23.10.2009 9.10 9.76 10.22 10.32 10.32
16.10.2009 9.15 9.81 10.26
15.10.2009 10.36 10.35
09.10.2009 9.26 10.10 10.48 10.44 10.42
02.10.2009 9.48 10.63 11.09
       
25.09.2009 9.70 10.72 11.17 11.35 11.44 11.35
18.09.2009 10.04 10.96 11.50
11.09.2009 10.54 11.39 11.97 12.53 12.65 12.48
03.09.2009 10.55 11.42 11.98
       
28.08.2009 10.57 11.43 11.98
21.08.2009 10.57 11.43 11.98
17.08.2009 12.50 12.88 13.00
14.08.2009 10.57 11.43 11.98
07.08.2009 10.58 11.41 11.95
Rates on Government Securities 2006>>

(a) Weighted Average Yield Rate of Primary Treasury Bills Auction
(b) Weighted Average Yield Rate of Primary Treasury Bonds Auction

 
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