Financial market news
Date: 31.03.2025
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The NBKR reported that the Ministry of Finance of the Kyrgyz Republic announced preliminary volumes of issue of the state treasury bonds (ST-Bonds) for April 2025.
ST-Bonds (mln. KGS)
Date of auction |
Date of issue |
Registration number |
Coupon rate |
Maturity period |
Volume of ST-Bonds issue |
04.04.2025 |
07.04.2025 |
GBA05300407 |
6% |
5 years |
1 000,0 |
11.04.2025 |
14.04.2025 |
GBA07320414 |
7% |
7 years |
1 100,0 |
18.04.2025 |
21.04.2025 |
GBA05300421 |
6% |
5 years |
750,0 |
25.04.2025 |
28.04.2025 |
GBA07320428 |
7% |
7 years |
1 400,0 |
Total ST-Bonds: |
4 250,0 |
Date: 25.03.2025
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According to the results of the auction held on March 25, 2025, the weighted average yield of 7-day NBKR notes issue constituted 3.43%.
Date: 24.03.2025
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The NBKR reported that the auction for placement of 7-day NBKR notes will be held on March 25, 2025.
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
BD001250402 |
10 000 000,00 |
NBKR policy rate as of the auction date |
26.03.2025 |
02.04.2025 |
Date: 20.03.2025
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According to the results of the auctions held on March 20, 2025, the yield of 10-year ST-Bond issue constituted 16.00%.
Date: 19.03.2025
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The NBKR reported that the auction for placement of 10 years ST-Bonds will be held on March 20, 2025.
Issue No. |
Volume of issue (thous. KGS) |
Coupon rate |
Date of issue |
Date of repayment |
Date of coupon payments |
GBA10350324 |
2 000 000,00 |
8,00% |
24.03.2025 |
24.03.2035 |
Twice a year on September 24 and March 24 before the maturity date |
Date: 18.03.2025
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According to the results of the auction held on March 18, 2025, the weighted average yield of 7-day NBKR notes issue constituted 3.43%.
Date: 17.03.2025
Permanent link
The NBKR reported that the auction for placement of 7-day NBKR notes will be held on March 18, 2025.
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
BD001250326 |
10 000 000,00 |
NBKR policy rate as of the auction date |
19.03.2025 |
26.03.2025 |
Date: 14.03.2025
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According to the results of the auctions held on March 14, 2025, the yield of 3-year ST-Bond issue constituted 12.91%.
Date: 12.03.2025
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The NBKR reported that the auction for placement of 3 years ST-Bonds will be held on March 14, 2025.
Issue No. |
Volume of issue (thous. KGS) |
Coupon rate |
Date of issue |
Date of repayment |
Date of coupon payments |
GBA03280317 |
1 000 000,00 |
5,0% |
17.03.2025 |
17.03.2028 |
Twice a year on September 17 and March 17 before the maturity date |
Date: 11.03.2025
Permanent link
According to the results of the auction held on March 11, 2025, the weighted average yield of 7-day NBKR notes issue constituted 3.43%.
Date: 10.03.2025
Permanent link
The NBKR reported that the auction for placement of 7-day NBKR notes will be held on March 11, 2025.
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
BD001250319 |
10 000 000,00 |
NBKR policy rate as of the auction date |
12.03.2025 |
19.03.2025 |
Date: 07.03.2025
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According to the results of the auction(s) held on March 7, 2025, the yield of 7-year ST-Bond issue constituted 15.23%.
Date: 06.03.2025
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The NBKR reported that the Ministry of Finance of the Kyrgyz Republic announced a change in the date of issue of the state treasury bonds (ST-Bonds) for March 2025
ST-Bonds (mln. KGS)
Date of auction |
Date of issue |
Registration number |
Coupon rate |
Maturity period |
Volume of ST-Bonds issue |
07.03.2025 |
10.03.2025 |
GBA07320310 |
7% |
7 years |
2 500,0 |
14.03.2025 |
17.03.2025 |
GBA03280317 |
5% |
3 years |
1 000,0 |
20.03.2025 |
24.03.2025 |
GBA10350324 |
8% |
10 years |
2 000,0 |
Date: 05.03.2025
Permanent link
The NBKR reported that the auction(s) for placement of 7-year ST-Bonds will be held on March 7, 2025.
Issue No. |
Volume of issue (thous. KGS) |
Coupon rate |
Date of issue |
Date of repayment |
Date of coupon payments |
GBA07320310 |
2 500 000,00 |
7,00% |
10.03.2025 |
10.03.2032 |
Twice a year on September 10 and March 10 before the maturity date |
Date: 04.03.2025
Permanent link
According to the results of the auction held on March 4, 2025, the weighted average yield of 7-day NBKR notes issue constituted 3.44%.
Date: 03.03.2025
Permanent link
The NBKR reported that the auction for placement of 7-day NBKR notes will be held on March 4, 2025.
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
BD001250312 |
10 000 000,00 |
NBKR policy rate as of the auction date |
05.03.2025 |
12.03.2025 |
Date: 28.02.2025
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According to the results of the auctions held on February 28, 2025, the yield of 3-year ST-Bond issue constituted 12.91%.
Date: 28.02.2025
Permanent link
The NBKR reported that the auction for placement of 3 years ST-Bonds will be held on February 28, 2025.
Issue No. |
Volume of issue (thous. KGS) |
Coupon rate |
Date of issue |
Date of repayment |
Date of coupon payments |
GBB03280303 |
4 150 000,00 |
12,91% |
03.03.2025 |
03.03.2028 |
Twice a year on September 3 and March 3 before the maturity date |
Date: 28.02.2025
Permanent link
The NBKR reported that the Ministry of Finance of the Kyrgyz Republic announced preliminary volumes of issue of the state treasury bonds (ST-Bonds) for March 2025.
ST-Bonds (mln. KGS)
Date of auction |
Date of issue |
Registration number |
Coupon rate |
Maturity period |
Volume of ST-Bonds issue |
28.02.2025 |
03.03.2025 |
GBB03280303 |
12.91% |
3 years |
4 150,0 |
07.03.2025 |
10.03.2025 |
GBA07320310 |
7% |
7 years |
2 500,0 |
14.03.2025 |
17.03.2025 |
GBA03280317 |
5% |
3 years |
1 000,0 |
28.03.2025 |
31.03.2025 |
GBA10350331 |
8% |
10 years |
2 000,0 |
Total ST-Bonds: |
9 650,0 |
Date: 25.02.2025
Permanent link
According to the results of the auction held on February 25, 2025, the weighted average yield of 7-day NBKR notes issue constituted 3.44%.
Date: 24.02.2025
Permanent link
The NBKR reported that the auction for placement of 7-day NBKR notes will be held on February 25, 2025.
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
BD001250305 |
10 000 000,00 |
NBKR policy rate as of the auction date |
26.02.2025 |
05.03.2025 |
Date: 24.02.2025
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According to the results of ST-Bonds additional placement held on February 24, 2025, the volume of additional placement of 7-year ST-Bonds amounted to KGS 1 600,0 million.
Date: 21.02.2025
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On February 24, 2025, the National Bank of the Kyrgyz Republic will conduct an additional (non-auction) placement of 7-year ST-Bonds.
Parameters of additional placement
Issue No. |
GBA07320224 |
Volume of issue, thous. KGS |
1 600 000,00 |
Yield (%) |
15,21 |
Price (KGS) |
65,37 |
Date of issue |
24.02.2025 |
Date of repayment |
24.02.2032 |
Date: 21.02.2025
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According to the results of the auction(s) held on February 21, 2025, the yield of 7-year ST-Bond issue constituted 15.21%.
Date: 19.02.2025
Permanent link
The NBKR reported that the auction(s) for placement of 7-year ST-Bonds will be held on February 21, 2025.
Issue No. |
Volume of issue (thous. KGS) |
Coupon rate |
Date of issue |
Date of repayment |
Date of coupon payments |
GBA07320224 |
1 250 000,00 |
7,00% |
24.02.2025 |
24.02.2032 |
Twice a year on August 24 and February 24 before the maturity date |
Date: 18.02.2025
Permanent link
According to the results of the auction held on February 18, 2025, the weighted average yield of 7-day NBKR notes issue constituted 3.43%.
Date: 17.02.2025
Permanent link
The NBKR reported that the auction for placement of 7-day NBKR notes will be held on February 18, 2025.
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
BD001250226 |
10 000 000,00 |
NBKR policy rate as of the auction date |
19.02.2025 |
26.02.2025 |
Date: 14.02.2025
Permanent link
According to the results of the auction(s) held on February 14, 2025, the yield of 7-year ST-Bond issue constituted 15.25%.
Date: 13.02.2025
Permanent link
The NBKR reported that the auction(s) for placement of 7-year ST-Bonds will be held on February 14, 2025.
Issue No. |
Volume of issue (thous. KGS) |
Coupon rate |
Date of issue |
Date of repayment |
Date of coupon payments |
GBA07320217 |
1 250 000,00 |
7,00% |
17.02.2025 |
17.02.2032 |
Twice a year on August 17 and February 17 before the maturity date |
Date: 11.02.2025
Permanent link
According to the results of the auction held on February 11, 2025, the weighted average yield of 7-day NBKR notes issue constituted 3.43%.
Date: 10.02.2025
Permanent link
The NBKR reported that the auction for placement of 7-day NBKR notes will be held on February 11, 2025.
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
BD001250219 |
10 000 000,00 |
NBKR policy rate as of the auction date |
12.02.2025 |
19.02.2025 |
Date: 07.02.2025
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According to the results of the auction(s) held on February 7, 2025, the yield of 5-year ST-Bond issue constituted 15.20%.
Date: 06.02.2025
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The NBKR reported that the auction(s) for placement of 5-year ST-Bonds will be held on February 7, 2025.
Issue No. |
Volume of issue (thous. KGS) |
Coupon rate |
Date of issue |
Date of repayment |
Date of coupon payments |
GBA05300210 |
1 700 000,00 |
6,00% |
10.02.2025 |
10.02.2030 |
Twice a year on August 10 and February 10 before the maturity date |
Date: 04.02.2025
Permanent link
According to the results of the auction held on February 4, 2025, the weighted average yield of 7-day NBKR notes issue constituted 3.43%.
Date: 03.02.2025
Permanent link
The NBKR reported that the auction for placement of 7-day NBKR notes will be held on February 4, 2025.
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
BD001250212 |
10 000 000,00 |
NBKR policy rate as of the auction date |
05.02.2025 |
12.02.2025 |
Date: 30.01.2025
Permanent link
The NBKR reported that the Ministry of Finance of the Kyrgyz Republic announced preliminary volumes of issue of the state treasury bonds (ST-Bonds) for February 2025.
ST-Bonds (mln. KGS)
Date of auction |
Date of issue |
Registration number |
Coupon rate |
Maturity period |
Volume of ST-Bonds issue |
07.02.2025 |
10.02.2025 |
GBA05300210 |
6% |
5 years |
1 700,0 |
14.02.2025 |
17.02.2025 |
GBA07320217 |
7% |
7 years |
1 250,0 |
21.02.2025 |
24.02.2025 |
GBA07320224 |
7% |
7 years |
1 250,0 |
Total ST-Bonds: |
4 200,0 |
Date: 28.01.2025
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According to the results of the auction held on January 28, 2025, the weighted average yield of 7-day NBKR notes issue constituted 3.43%.
Date: 27.01.2025
Permanent link
The NBKR reported that the auction for placement of 7-day NBKR notes will be held on January 28, 2025.
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
BD001250205 |
10 000 000,00 |
NBKR policy rate as of the auction date |
29.01.2025 |
05.02.2025 |
Date: 24.01.2025
Permanent link
According to the results of the auction(s) held on January 24, 2025, the yield of 10-year ST-Bond issue constituted 16.00%.
Date: 23.01.2025
Permanent link
The NBKR reported that the auction(s) for placement of 10-year ST-Bonds will be held on January 24, 2025.
Issue No. |
Volume of issue (thous. KGS) |
Coupon rate |
Date of issue |
Date of repayment |
Date of coupon payments |
GBA10350127 |
2 200 000,00 |
8,00% |
27.01.2025 |
27.01.2035 |
Twice a year on July 27 and January 27 before the maturity date |
Date: 21.01.2025
Permanent link
According to the results of the auction held on January 21, 2025, the weighted average yield of 7-day NBKR notes issue constituted 3.43%.
Date: 21.01.2025
Permanent link
The NBKR reported that the auction for placement of 7-day NBKR notes will be held on January 21, 2025.
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
BD001250129 |
10 000 000,00 |
NBKR policy rate as of the auction date |
22.01.2025 |
29.01.2025 |
Date: 17.01.2025
Permanent link
According to the results of the auctions held on January 17, 2025, the yield of 3-year and 7-year ST-Bond issue constituted 12.91% and 15.22%.
Date: 16.01.2025
Permanent link
The NBKR reported that the auctions for placement of 3 and 7-year ST-Bonds will be held on January 17, 2025.
Issue No. |
Volume of issue (thous. KGS) |
Coupon rate |
Date of issue |
Date of repayment |
Date of coupon payments |
GBA03280120 |
500 000,00 |
5,00% |
20.01.2025 |
20.01.2028 |
Twice a year on July 20 and January 20 before the maturity date |
GBA07320120 |
1 700 000,00 |
7,00% |
20.01.2025 |
20.01.2032 |
Date: 14.01.2025
Permanent link
According to the results of the auction held on January 14, 2025, the weighted average yield of 7-day NBKR notes issue constituted 3.44%.
Date: 14.01.2025
Permanent link
The NBKR reported that the Ministry of Finance of the Kyrgyz Republic announced addition to the preliminary volumes of issue of the state treasury bonds (ST-Bonds) for January 2025
ST-Bonds (mln. KGS)
Date of auction |
Date of issue |
Registration number |
Coupon rate |
Maturity period |
Volume of ST-Bonds issue |
17.01.2025 |
20.01.2025 |
GBA03280120 |
5% |
3 years |
500,0 |
17.01.2025 |
20.01.2025 |
GBA07320120 |
7% |
7 years |
1 700,0 |
24.01.2025 |
27.01.2025 |
GBA10350127 |
8% |
10 years |
2 200,0 |
Date: 13.01.2025
Permanent link
According to the results of ST-Bonds additional placement held on January 13, 2025, the volume of additional placement of 3-year ST-Bonds amounted to KGS 600,0 million.
Date: 13.01.2025
Permanent link
The NBKR reported that the auction for placement of 7-day NBKR notes will be held on January 14, 2025.
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
BD001250122 |
10 000 000,00 |
NBKR policy rate as of the auction date |
15.01.2025 |
22.01.2025 |
Date: 11.01.2025
Permanent link
On January 13, 2025, the National Bank of the Kyrgyz Republic will conduct an additional (non-auction) placement of 3-year ST-Bonds.
Parameters of additional placement
Issue No. |
GBA03280113 |
Volume of issue, mln. KGS |
600 000,00 |
Yield (%) |
12,94 |
Price (KGS) |
80,76 |
Date of issue |
13.01.2025 |
Date of repayment |
13.01.2028 |
Date: 10.01.2025
Permanent link
According to the results of the auctions held on January 10, 2025, the yield of 3-year ST-Bond issue constituted 12.94%.
Date: 09.01.2025
Permanent link
The NBKR reported that the auction for placement of 3 years ST-Bonds will be held on January 10, 2025.
Issue No. |
Volume of issue (thous. KGS) |
Coupon rate |
Date of issue |
Date of repayment |
Date of coupon payments |
GBA03280113 |
800 000,00 |
5,00% |
13.01.2025 |
13.01.2028 |
Twice a year on July 13 and January 13 before the maturity date |
Date: 31.12.2024
Permanent link
According to the results of the auction held on December 31, 2024, the weighted average yield of 7-day NBKR notes issue constituted 3.45%.
Date: 30.12.2024
Permanent link
The NBKR reported that the auction for placement of 7-day NBKR notes will be held on December 31, 2024.
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
BD001250115 |
10 000 000,00 |
NBKR policy rate as of the auction date |
08.01.2025 |
15.01.2025 |
Date: 27.12.2024
Permanent link
The NBKR reported that the Ministry of Finance of the Kyrgyz Republic announced preliminary volumes of issue of the state treasury bonds (ST-Bonds) for January 2025.
ST-Bonds (mln. KGS)
Date of auction |
Date of issue |
Registration number |
Coupon rate |
Maturity period |
Volume of ST-Bonds issue |
10.01.2025 |
13.01.2025 |
GBA03280113 |
5% |
3 years |
800,0 |
17.01.2025 |
20.01.2025 |
GBA07320120 |
7% |
7 years |
1 700,0 |
24.01.2025 |
27.01.2025 |
GBA10350127 |
8% |
10 years |
2 200,0 |
Total ST-Bonds: |
4 700,0 |
Date: 24.12.2024
Permanent link
According to the results of the auction held on December 24, 2024, the weighted average yield of 7-day NBKR notes issue constituted 3.32%.
Date: 23.12.2024
Permanent link
The NBKR reported that the auction for placement of 7-day NBKR notes will be held on December 24, 2024.
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
BD001250101 |
10 000 000,00 |
NBKR policy rate as of the auction date |
25.12.2024 |
01.01.2025 |
Date: 17.12.2024
Permanent link
According to the results of the auction held on December 17, 2024, the weighted average yield of 7-day NBKR notes issue constituted 3.43%.
Date: 16.12.2024
Permanent link
The NBKR reported that the auction for placement of 7-day NBKR notes will be held on December 17, 2024.
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
BD001241225 |
10 000 000,00 |
NBKR policy rate as of the auction date |
18.12.2024 |
25.12.2024 |
Date: 10.12.2024
Permanent link
According to the results of the auction held on December 10, 2024, the weighted average yield of 7-day NBKR notes issue constituted 3.43%.
Date: 09.12.2024
Permanent link
The NBKR reported that the auction for placement of 7-day NBKR notes will be held on December 10, 2024.
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
BD001241218 |
10 000 000,00 |
NBKR policy rate as of the auction date |
11.12.2024 |
18.12.2024 |
Date: 06.12.2024
Permanent link
According to the results of the auctions held on December 6, 2024, the yield of 3-year and 5-year ST-Bond issue constituted 13.08% and 15.20%.
Date: 05.12.2024
Permanent link
The NBKR reported that the auctions for placement of 3 and 5-year ST-Bonds will be held on December 06, 2024.
Issue No. |
Volume of issue (thous. KGS) |
Coupon rate |
Date of issue |
Date of repayment |
Date of coupon payments |
GBA03271209 |
1 100 000,00 |
5,00% |
09.12.2024 |
09.12.2027 |
Twice a year on June 9 and December 9 before the maturity date |
GBA05291209 |
100 000,00 |
6,00% |
09.12.2024 |
09.12.2029 |
Date: 03.12.2024
Permanent link
According to the results of the auction held on December 03, 2024, the weighted average yield of 7-day NBKR notes issue constituted 3.43%.
Date: 03.12.2024
Permanent link
The NBKR reported that the Ministry of Finance of the Kyrgyz Republic announced preliminary volumes of issue of the state treasury bonds (ST-Bonds) for December 2024
ST-Bonds (mln. KGS)
Date of auction |
Date of issue |
Registration number |
Coupon rate |
Maturity period |
Volume of ST-Bonds issue |
06.12.2024 |
09.12.2024 |
GBA03271209 |
5% |
3 years |
1 100,0 |
06.12.2024 |
09.12.2024 |
GBA05291209 |
6% |
5 years |
100,0 |
Total ST-Bonds: |
1 200,0 |
Date: 02.12.2024
Permanent link
The NBKR reported that the auction for placement of 7-day NBKR notes will be held on December 3, 2024.
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
BD001241211 |
10 000 000,00 |
NBKR policy rate as of the auction date |
04.12.2024 |
11.12.2024 |
Date: 26.11.2024
Permanent link
According to the results of the auction held on November 26, 2024, the weighted average yield of 7-day NBKR notes issue constituted 3.43%.
Date: 25.11.2024
Permanent link
The NBKR reported that the auction for placement of 7-day NBKR notes will be held on November 26, 2024.
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
BD001241204 |
10 000 000,00 |
NBKR policy rate as of the auction date |
27.11.2024 |
04.12.2024 |
Date: 22.11.2024
Permanent link
According to the results of the auctions held on November 22, 2024, the yield of 3-year and 10-year ST-Bond issue constituted 13.26% and 16.00%. Auction for 7-year ST-Bonds was declared void due to lack of demand.
Date: 21.11.2024
Permanent link
The NBKR reported that the auctions for placement of 3, 7 and 10-year ST-Bonds will be held on November 22, 2024.
Issue No. |
Volume of issue (thous. KGS) |
Coupon rate |
Date of issue |
Date of repayment |
Date of coupon payments |
GBA07311125 |
300 000,00 |
7,00% |
25.11.2024 |
25.11.2031 |
Twice a year on May 25 and November 25 before the maturity date |
GBA10341125 |
950 000,00 |
8,00% |
25.11.2024 |
25.11.2034 |
|
GBB03271125 |
520 000,00 |
13,26% |
25.11.2024 |
25.11.2027 |
Date: 21.11.2024
Permanent link
The NBKR reported that the Ministry of Finance of the Kyrgyz Republic announced addition to the preliminary volumes of issue of the state treasury bonds (ST-Bonds) for November 2024
ST-Bonds (mln. KGS)
Date of auction |
Date of issue |
Registration number |
Coupon rate |
Maturity period |
Volume of ST-Bonds issue |
22.11.2024 |
25.11.2024 |
GBA07311125 |
7% |
7 years |
300,0 |
22.11.2024 |
25.11.2024 |
GBA10341125 |
8% |
10 years |
950,0 |
22.11.2024 |
25.11.2024 |
GBB03271125 |
13,26% |
3 years |
520,0 |
Date: 19.11.2024
Permanent link
According to the results of the auction held on November 19, 2024, the weighted average yield of 7-day NBKR notes issue constituted 3.43%.
Date: 18.11.2024
Permanent link
The NBKR reported that the auction for placement of 7-day NBKR notes will be held on November 19, 2024.
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
BD001241127 |
10 000 000,00 |
NBKR policy rate as of the auction date |
20.11.2024 |
27.11.2024 |
Date: 18.11.2024
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According to the results of ST-Bonds additional placement held on November 18, 2024, the volume of additional placement of 3- and 5-year ST-Bonds amounted to KGS 2 000,0 million and KGS 100,0 million.
Date: 15.11.2024
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On November 15, 2024, the National Bank of the Kyrgyz Republic (NBKR) will conduct an additional (non-auction) placement of 3 and 5-year ST-Bonds.
Parameters of additional placement
Issue No. |
GBA03271118 |
GBA05291118 |
Volume of issue, mln. KGS |
2 000 000,00 |
100 000,00 |
Yield (%) |
13,26 |
15,20 |
Price (KGS) |
80,09 |
68,57 |
Date of issue |
18.11.2024 |
18.11.2024 |
Date of repayment |
18.11.2027 |
18.11.2029 |
Date: 15.11.2024
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According to the results of the auctions held on November 15, 2024, the yield of 3-year and 5-year ST-Bond issue constituted 13.26% and 15.20%.
Date: 14.11.2024
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The NBKR reported that the auctions for placement of 3 and 5-year ST-Bonds will be held on November 15, 2024.
Issue No. |
Volume of issue (thous. KGS) |
Coupon rate |
Date of issue |
Date of repayment |
Date of coupon payments |
GBA03271118 |
3 000 000,00 |
5,00% |
18.11.2024 |
18.11.2027 |
Twice a year on May 18 and November 18 before the maturity date |
GBA05291118 |
300 000,00 |
6,00% |
18.11.2024 |
18.11.2029 |
Date: 12.11.2024
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According to the results of the auction held on November 12, 2024, the weighted average yield of 7-day NBKR notes issue constituted 3.43%.
Date: 11.11.2024
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The NBKR reported that the auction for placement of 7-day NBKR notes will be held on November 12, 2024.
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
BD001241120 |
10 000 000,00 |
NBKR policy rate as of the auction date |
13.11.2024 |
20.11.2024 |
Date: 05.11.2024
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According to the results of the auction held on November 5, 2024, the weighted average yield of 7-day NBKR notes issue constituted 3.44%.
Date: 04.11.2024
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The NBKR reported that the auction for placement of 7-day NBKR notes will be held on November 5, 2024.
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
BD001241113 |
10 000 000,00 |
NBKR policy rate as of the auction date |
06.11.2024 |
13.11.2024 |
Date: 01.11.2024
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According to the results of the auctions held on November 1, 2024, the yield of 7-year and 10-year ST-Bond issue constituted 15.25% and 16.00%.
Date: 31.10.2024
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The NBKR reported that the auctions for placement of 7 and 10-year ST-Bonds will be held on November 1, 2024.
Issue No. |
Volume of issue (thous. KGS) |
Coupon rate |
Date of issue |
Date of repayment |
Date of coupon payments |
GBA07311104 |
1 400 000,00 |
7,00% |
04.11.2024 |
04.11.2031 |
Twice a year on May 4 and November 4 before the maturity date |
GBA10341104 |
600 000,00 |
8,00% |
04.11.2024 |
04.11.2034 |
Date: 30.10.2024
Permanent link
The NBKR reported that the Ministry of Finance of the Kyrgyz Republic announced preliminary volumes of issue of the state treasury bonds (ST-Bonds) for November 2024
ST-Bonds (mln. KGS)
Date of auction |
Date of issue |
Registration number |
Coupon rate |
Maturity period |
Volume of ST-Bonds issue |
01.11.2024 |
04.11.2024 |
GBA07311104 |
7% |
7 years |
1 400,0 |
01.11.2024 |
04.11.2024 |
GBA10341104 |
8% |
10 years |
600,0 |
15.11.2024 |
18.11.2024 |
GBA03271118 |
5% |
3 years |
3 000,0 |
15.11.2024 |
18.11.2024 |
GBA05291118 |
6% |
5 years |
300,0 |
22.11.2024 |
25.11.2024 |
GBA07311125 |
7% |
7 years |
300,0 |
Total ST-Bonds: |
5 600,0 |
Date: 29.10.2024
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According to the results of the auction held on October 29, 2024, the weighted average yield of 7-day NBKR notes issue constituted 3.42%.
Date: 28.10.2024
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The NBKR reported that the auction for placement of 7-day NBKR notes will be held on October 29, 2024.
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
BD001241106 |
10 000 000,00 |
NBKR policy rate as of the auction date |
30.10.2024 |
06.11.2024 |