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SGS Info

Bond
Name
Bench
mark

Years to
Maturity


*Bid per
S$100
(Investor
Sells)

*Offer per
S$100
(Investor
Buys)

*Bid
Indicative
Yield
(% p.a.)

*Offer
Indicative
Yield
(% p.a.)

Minimum
Purchase
Quantity
(S$)

Original
Maturity
(years)

Maturity
Date


Annual
Coupon
(%)

Coupon
Payment
Date

Buy
Now!
N710100Z; Coupon 2.375%; Maturity 01/04/2017 - 0.09 100.14 100.34 0.92 0.02 1,000 7 01 Apr 2017 2.375 Oct 01/ Apr 01
N215100F; Coupon 1.375%; Maturity 01/10/2017 2yr 0.59 100.27 100.67 0.92 0.25 1,000 2 01 Oct 2017 1.375 Apr 01/ Oct 01
N513100T; Coupon: 0.500%; Maturity 01/04/2018 - 1.09 99.45 99.65 1.01 0.82 1,000 5 01 Apr 2018 0.500 Oct 01/ Apr 01
NY03100A; Coupon 4.000%; Maturity 01/09/2018 - 1.50 104.35 104.65 1.09 0.90 1,000 15 01 Sep 2018 4.000 Mar 01/ Sep 01
NX09100W ; Coupon 2.500%; Maturity 01/06/2019 - 2.26 102.83 103.13 1.23 1.10 1,000 10 01 Jun 2019 2.500 Dec 01/ Jun 01
N514100H; Coupon: 1.625%; Maturity 01/10/2019 - 2.59 100.80 101.20 1.31 1.15 1,000 5 01 Oct 2019 1.625 Apr 01/ Oct 01
N515100S; Coupon: 2.000%; Maturity 01/07/2020 - 3.34 101.76 102.16 1.46 1.34 1,000 5 01 Jul 2020 2.000 Jan 01/ Jul 01
NY05100N; Coupon 3.250%; Maturity 01/09/2020 - 3.50 105.92 106.22 1.51 1.43 1,000 15 01 Sep 2020 3.250 Mar 01/ Sep 01
NX11100X; Coupon: 2.250%; Maturity: 01/06/2021 - 4.26 102.38 102.68 1.67 1.60 1,000 10 01 Jun 2021 2.250 Dec 01/ Jun 01
N516100Z; Coupon 1.250%; Maturity 01/10/2021 5yr 4.59 98.35 98.75 1.62 1.53 1,000 5 01 Oct 2021 1.250 Apr 01/ Oct 01
NY07100X; Coupon 3.125%; Maturity 01/09/2022 - 5.50 106.60 106.90 1.86 1.80 1,000 15 01 Sep 2022 3.125 Sep 01/ Mar 01
NX13100H; Coupon 2.750%; Maturity 01/07/2023 - 6.34 104.58 104.88 1.98 1.93 1,000 10 01 Jul 2023 2.750 Jan 01/ Jul 01
NY09100H; Coupon: 3.000%; Maturity 01/09/2024 - 7.50 106.17 106.57 2.11 2.05 1,000 15 01 Sep 2024 3.000 Sep 01/ Mar 01
NX15100Z; Coupon: 2.375%; Maturity 01/06/2025 - 8.26 101.34 101.74 2.20 2.14 1,000 10 01 Jun 2025 2.375 Dec 02/ Jun 02
NX16100F; Coupon 2.125%; Maturity 01/06/2026 10yr 9.26 98.97 99.37 2.25 2.20 1,000 10 01 Jun 2026 2.125 Dec 01/ Jun 01
NZ07100S; Coupon 3.500%; Maturity 01/03/2027 - 10.01 110.18 110.58 2.35 2.31 1,000 20 01 Mar 2027 3.500 Mar 01/ Sep 01
NY14100E; Coupon: 2.875%; Maturity 01/07/2029 15yr 12.34 104.49 104.89 2.45 2.42 1,000 15 01 Jul 2029 2.875 Jan 01/ Jul 01
NZ10100F; Coupon: 2.875%; Maturity 01/09/2030 - 13.50 104.50 105.00 2.48 2.44 1,000 20 01 Sep 2030 2.875 Mar 01/ Sep 01
NZ13100V; Coupon: 3.375%; Maturity 01/09/2033 - 16.50 111.91 112.21 2.49 2.47 1,000 20 01 Sep 2033 3.375 Mar 01/ Sep 01
NZ16100X; Coupon: 2.250%; Maturity 01/08/2036 20yr 19.42 96.82 97.22 2.46 2.43 1,000 20 01 Aug 2036 2.250 Feb 01/ Aug 01
NA12100N; Coupon 2.750%; Maturity 01/04/2042 - 25.09 105.40 105.60 2.46 2.45 1,000 30 01 Apr 2042 2.750 Oct 01/ Apr 01
NA16100H; Coupon 2.750%; Maturity 01/03/2046 30yr 29.01 105.72 106.12 2.47 2.45 1,000 30 01 Mar 2046 2.750 Sep 01/ Mar 01

Fundsupermart.com charges a processing fee of 0.1% of nominal value for each purchase order (no processing fee is levied on each sell order) and an annual custody fee of 0.1% of nominal value (deducted from the coupon payments due to you). The offer price (investor's buying price) includes the 0.1% processing fees. Prices / yields are last updated on 24 Feb 2017, 4:00pm.

*These quotes are only indicative prices and are subject to change.