According to the results of the auction held on October 24, 2025, the yield of 5 years ST-Bonds issue constituted 15.20%.
The NBKR reports that the auction for placement of 5 years ST-Bonds will be held on October 24, 2025
|
Issue No. |
Volume of issue (thous. KGS) |
Coupon rate |
Date of issue |
Date of repayment |
Date of coupon payments |
|
GBA05301027 |
1 000 000,00 |
6% |
27.10.2025 |
27.10.2030 |
Twice a year on April 27 and October 27 before the maturity date |
According to the results of the auctions held on October 21, 2025, the weighted average yield of 7 and 91-day NBKR notes issue constituted 3.45% and 4.25%, respectively.
The NBKR reported that the auctions for placement of 7 and 91-day NBKR notes will be held on October 21, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
|
BD001251029 |
10 000 000,00 |
NBKR policy rate as of the auction date |
22.10.2025 |
29.10.2025 |
|
BD013260121 |
1 000 000,00 |
Rate of «Overnight» loan as of the auction date |
22.10.2025 |
21.01.2026 |
According to the results of the auctions held on October 17, 2025, the yield of 3 and 7 years ST-Bond issue constituted 12.86% and 15.25%.
The NBKR reported that the auctions for placement of 3 and 7-year ST-Bonds will be held on October 17, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Coupon rate |
Date of issue |
Date of repayment |
Date of coupon payments |
|
GBA03281020 |
800 000,00 |
5% |
20.10.2025 |
20.10.2028 |
Twice a year on April 20 and October 20 before the maturity date |
|
GBA07321020 |
1 200 000,00 |
7% |
20.10.2025 |
20.10.2032 |
According to the results of the auction held on October 14, 2025, the weighted average yield of 7-day NBKR notes issue constituted 3.45%.
The NBKR reports that the auction for placement of 7-day NBKR notes will be held on October 14, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
|
BD001251022 |
10 000 000,00 |
NBKR policy rate as of the auction date |
15.10.2025 |
22.10.2025 |
According to the results of the auction held on October 10, 2025, the yield of 5 years ST-Bonds issue constituted 15.20%.
The NBKR reports that the auction for placement of 5 years ST-Bonds will be held on October 10, 2025
|
Issue No. |
Volume of issue (thous. KGS) |
Coupon rate |
Date of issue |
Date of repayment |
Date of coupon payments |
|
GBA05301013 |
900 000,00 |
6% |
13.10.2025 |
13.10.2030 |
Twice a year on April 13 and October 13 before the maturity date |
According to the results of the auction held on October 7, 2025, the weighted average yield of 7-day NBKR notes issue constituted 3.45%.
The NBKR reports that the auction for placement of 7-day NBKR notes will be held on October 7, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
|
BD001251015 |
10 000 000,00 |
NBKR policy rate as of the auction date |
08.10.2025 |
15.10.2025 |
According to the results of the auction held on October 3, 2025, the yield of 3 years ST-Bonds issue constituted 12.86%.
The NBKR reports that the auction for placement of 3 years ST-Bonds will be held on October 3, 2025
|
Issue No. |
Volume of issue (thous. KGS) |
Coupon rate |
Date of issue |
Date of repayment |
Date of coupon payments |
|
GBA03281006 |
800 000,00 |
5% |
06.10.2025 |
06.10.2028 |
Twice a year on April 6 and October 29 before the maturity date |
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 October 2025.
ST-Bonds (mln. KGS)
|
Date of auction |
Date of issue |
Registration number |
Coupon rate |
Maturity period |
Volume of ST-Bonds issue |
|
03.10.2025 |
06.10.2025 |
GBA03281006 |
5% |
3 years |
800,0 |
|
10.10.2025 |
13.10.2025 |
GBA05301013 |
6% |
5 years |
900,0 |
|
17.10.2025 |
20.10.2025 |
GBA03281020 |
5% |
3 years |
800,0 |
|
17.10.2025 |
20.10.2025 |
GBA07321020 |
7% |
7 years |
1 200,0 |
|
24.10.2025 |
27.10.2025 |
GBA05301027 |
6% |
5 years |
1 000,0 |
|
Total ST-Bonds: |
4 700,0 |
||||
According to the results of the auctions held on September 30, 2025, the weighted average yield of 7 and 182-day NBKR notes issue constituted 3.45% and 5.50%, respectively.
The NBKR reported that the auctions for placement of 7 and 182-day NBKR notes will be held on September 30, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
|
BD001251008 |
10 000 000,00 |
NBKR policy rate as of the auction date |
01.10.2025 |
08.10.2025 |
|
BD026260401 |
500 000,00 |
Rate of «Overnight» loan as of the auction date |
01.10.2025 |
01.04.2026 |
According to the results of the auction held on September 26, 2025, the yield of 10 years ST-Bonds issue constituted 16.0%.
The NBKR reports that the auction for placement of 10 years ST-Bonds will be held on September 26, 2025
|
Issue No. |
Volume of issue (thous. KGS) |
Coupon rate |
Date of issue |
Date of repayment |
Date of coupon payments |
|
GBA10350929 |
1 500 000,00 |
8% |
29.09.2025 |
29.09.2035 |
Twice a year on March 29 and September 29 before the maturity date |
According to the results of the auction held on September 24, 2025, the yield of 3 years ST-Bonds issue constituted 12.87%.
According to the results of the auctions held on September 23, 2025, the weighted average yield of 7 and 91-day NBKR notes issue constituted 3.45% and 4.30%, respectively.
The NBKR reported that the auctions for placement of 7 and 91-day NBKR notes will be held on September 23, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
|
BD001251001 |
10 000 000,00 |
NBKR policy rate as of the auction date |
24.09.2025 |
01.10.2025 |
|
BD013251224 |
1 000 000,00 |
Rate of «Overnight» loan as of the auction date |
24.09.2025 |
24.12.2025 |
The NBKR reports that the auction for placement of 3 years ST-Bonds will be held on September 24, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Coupon rate |
Date of issue |
Date of repayment |
Date of coupon payments |
|
GBB03280925 |
3 700 000,0 |
12,87% |
25.09.2025 |
25.09.2028 |
Twice a year on March 25 and September 25 before the maturity date |
The NBKR reported that the Ministry of Finance of the Kyrgyz Republic announced an addition in the preliminary volumes of issue of the state treasury bonds (ST-Bonds) for September 2025
ST-Bonds (mln KGS)
|
Date of auction |
Date of issue |
Registration number |
Coupon rate |
Maturity period |
Volume of ST-Bonds issue |
|
24.09.2025 |
25.09.2025 |
GBB03280925 |
12,87% |
3 years |
3 700,0 |
|
26.09.2025 |
29.09.2025 |
GBA10350929 |
8% |
10 years |
1 500,0 |
|
Total ST-Bonds: |
5 200,0 |
||||
According to the results of the auction held on September 19, 2025, the yield of 7 years ST-Bonds issue constituted 15.25%.
The NBKR reports that the auction for placement of 7 years ST-Bonds will be held on September 19, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Coupon rate |
Date of issue |
Date of repayment |
Date of coupon payments |
|
GBA07320922 |
1 700 000,0 |
7% |
22.09.2025 |
22.09.2032 |
Twice a year on March 22 and September 22 before the maturity date |
According to the results of the auction held on September 16, 2025, the weighted average yield of 7-day NBKR notes issue constituted 3.45%.
The NBKR reported that the auction for placement of 7-day NBKR notes will be held on September 16, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
|
BD001250924 |
10 000 000,00 |
NBKR policy rate as of the auction date |
17.09.2025 |
24.09.2025 |
On September 12, 2025, the auction for the placement of 10-year ST-Bonds did not take place due to lack of demand.
According to the results of the auction held on September 12, 2025, the yield of 7 years ST-Bonds issue constituted 15.25%.
The NBKR reported that the auctions for placement of 7 and 10-year ST-Bonds will be held on September 12, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Coupon rate |
Date of issue |
Date of repayment |
Date of coupon payments |
|
GBA07320915 |
1 600 000,0 |
7% |
15.09.2025 |
15.09.2032 |
Twice a year on March 15 and September 15 before the maturity date |
|
GBA10350915 |
1 500 000,0 |
8% |
15.09.2025 |
15.09.2035 |
The NBKR reported that the Ministry of Finance of the Kyrgyz Republic announced an addition in the preliminary volumes of issue of the state treasury bonds (ST-Bonds) for September 2025
ST-Bonds (mln KGS)
|
Date of auction |
Date of issue |
Registration number |
Coupon rate |
Maturity period |
Volume of ST-Bonds issue |
|
12.09.2025 |
15.09.2025 |
GBA07320915 |
7% |
7 years |
1 600,0 |
|
12.09.2025 |
15.09.2025 |
GBA10350915 |
8% |
10 years |
1 500,0 |
|
19.09.2025 |
22.09.2025 |
GBA07320922 |
7% |
7 years |
1 700,0 |
|
26.09.2025 |
29.09.2025 |
GBA10350929 |
8% |
10 years |
1 500,0 |
|
Total ST-Bonds: |
6 300,0 |
||||
According to the results of the auction held on September 9, 2025, the weighted average yield of 7-day NBKR notes issue constituted 3.45%.
The NBKR reported that the auction for placement of 7-day NBKR notes will be held on September 9, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
|
BD001250917 |
10 000 000,00 |
NBKR policy rate as of the auction date |
10.09.2025 |
17.09.2025 |
According to the results of the auctions held on September 5, 2025, the yield of 3 and 7 years ST-Bond issue constituted 12.87% and 15.25%.
The NBKR reported that the auctions for placement of 3 and 7-year ST-Bonds will be held on September 5, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Coupon rate |
Date of issue |
Date of repayment |
Date of coupon payments |
|
GBA03280908 |
800 000,0 |
5% |
08.09.2025 |
08.09.2028 |
Twice a year on March 8 and September 8 before the maturity date |
|
GBA07320908 |
1 300 000,0 |
7% |
08.09.2025 |
08.09.2032 |
The NBKR reported that the Ministry of Finance of the Kyrgyz Republic announced a change and addition in the preliminary volumes of issue of the state treasury bonds (ST-Bonds) for September 2025
ST-Bonds (mln KGS)
|
Date of auction |
Date of issue |
Registration number |
Maturity period |
Coupon rate |
Volume of ST-Bonds issue |
|
05.09.2025 |
08.09.2025 |
GBA03280908 |
3 years |
5% |
800,0 |
|
05.09.2025 |
08.09.2025 |
GBA07320908 |
7 years |
7% |
1 300,0 |
|
12.09.2025 |
15.09.2025 |
GBA10350915 |
10 years |
8% |
1 500,0 |
|
19.09.2025 |
22.09.2025 |
GBA07320922 |
7 years |
7% |
1 700,0 |
|
26.09.2025 |
29.09.2025 |
GBA10350929 |
10 years |
8% |
1 500,0 |
|
Total ST-Bonds: |
6 800,0 |
||||
According to the results of the auctions held on September 2, 2025, the weighted average yield of 7 and 182-day NBKR notes issue constituted 3.45% and 5.50%, respectively.
The NBKR reported that the auctions for placement of 7 and 182-day NBKR notes will be held on September 2, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
|
BD001250910 |
10 000 000,00 |
NBKR policy rate as of the auction date |
03.09.2025 |
10.09.2025 |
|
BD026260304 |
500 000,00 |
Rate of «Overnight» loan as of the auction date |
03.09.2025 |
04.03.2026 |
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 September 2025.
ST-Bonds (mln. KGS)
|
Date of auction |
Date of issue |
Registration number |
Coupon rate |
Maturity period |
Volume of ST-Bonds issue |
|
05.09.2025 |
08.09.2025 |
GBA03280908 |
5% |
3 years |
800,0 |
|
12.09.2025 |
15.09.2025 |
GBA10350915 |
8% |
10 years |
1 500,0 |
|
19.09.2025 |
22.09.2025 |
GBA07320922 |
7% |
7 years |
3 000,0 |
|
26.09.2025 |
29.09.2025 |
GBA10350929 |
8% |
10 years |
1 500,0 |
|
Total ST-Bonds: |
6 800,0 |
||||
According to the results of the auctions held on August 26, 2025, the weighted average yield of 7 and 91-day NBKR notes issue constituted 3.45% and 4.39%, respectively.
The NBKR reported that the auctions for placement of 7 and 91-day NBKR notes will be held on August 26, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
|
BD001250903 |
10 000 000,00 |
NBKR policy rate as of the auction date |
27.08.2025 |
03.09.2025 |
|
BD013251126 |
1 000 000,00 |
Rate of «Overnight» loan as of the auction date |
27.08.2025 |
26.11.2025 |
According to the results of the auctions held on August 22, 2025, the yield of 5-year and 7-year ST-Bond issue constituted 15.20% and 15.25%.
The NBKR reported that the auctions for placement of 5 and 7-year ST-Bonds will be held on August 22, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Coupon rate |
Date of issue |
Date of repayment |
Date of coupon payments |
|
GBA05300825 |
3 200 000,00 |
6% |
25.08.2025 |
25.08.2030 |
Twice a year on February 25 and August 25 before the maturity date |
|
GBA07320825 |
4 300 000,0 |
7% |
25.08.2025 |
25.08.2032 |
The NBKR reported that the Ministry of Finance of the Kyrgyz Republic announced a change and addition in the preliminary volumes of issue of the state treasury bonds (ST-Bonds) for August 2025
ST-Bonds (mln KGS)
|
Date of auction |
Date of issue |
Registration number |
Maturity period |
Coupon rate |
Volume of ST-Bonds issue |
|
22.08.2025 |
25.08.2025 |
GBA07320825 |
7 years |
7% |
4 300,0 |
|
22.08.2025 |
25.08.2025 |
GBA05300825 |
5 years |
6% |
3 200,0 |
|
Total ST-Bonds: |
7 500,0 |
||||
According to the results of the auction held on August 19, 2025, the weighted average yield of 7-day NBKR notes issue constituted 3.44%.
The NBKR reported that the auction for placement of 7-day NBKR notes will be held on August 19, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
|
BD001250827 |
10 000 000,00 |
NBKR policy rate as of the auction date |
20.08.2025 |
27.08.2025 |
According to the results of the auctions held on August 15, 2025, the yield of 3-year and 5-year ST-Bond issue constituted 12.89% and 15.20%.
The NBKR reported that the auctions for placement of 3 and 5-year ST-Bonds will be held on August 15, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Coupon rate |
Date of issue |
Date of repayment |
Date of coupon payments |
|
GBA03280818 |
1 000 000,00 |
5% |
18.08.2025 |
18.08.2028 |
Twice a year on February 18 and August 18 before the maturity date |
|
GBA05300818 |
1 600 000,0 |
6% |
18.08.2025 |
18.08.2030 |
The NBKR reported that the Ministry of Finance of the Kyrgyz Republic announced a change and addition in the preliminary volumes of issue of the state treasury bonds (ST-Bonds) for August 2025
ST-Bonds (mln.KGS)
|
Date of auction |
Date of issue |
Registration number |
Coupon rate |
Maturity period |
Volume of ST-Bonds issue |
|
15.08.2025 |
18.08.2025 |
GBA03280818 |
3 years |
5% |
1 000,0 |
|
15.08.2025 |
18.08.2025 |
GBA05300818 |
5 years |
6% |
1 600,0 |
|
22.08.2025 |
25.08.2025 |
GBA07320825 |
7 years |
7% |
1 250,0 |
|
Total ST-Bonds: |
3 850,0 |
||||
The NBKR reported that the auction for placement of 5-year ST-Bonds will be held on August 15, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Coupon rate |
Date of issue |
Date of repayment |
Date of coupon payments |
|
GBA05300818 |
1 600 000,00 |
5,00% |
18.08.2025 |
18.08.2030 |
Twice a year on February 18 and August 18 before the maturity date |
According to the results of the auction held on August 12, 2025, the weighted average yield of 7-day NBKR notes issue constituted 3,44%.
According to the results of ST-Bonds additional placement held on August 11, 2025, the volume of additional placement of 3-year ST-Bonds amounted to KGS 1 250,0 million.
The NBKR reported that the auction for placement of 7-day NBKR notes will be held on August 12, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
|
BD001250820 |
10 000 000,00 |
NBKR policy rate as of the auction date |
13.08.2025 |
20.08.2025 |
On August 11, 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. |
GBB03280811 |
|
Volume of issue, thous. KGS |
1 250 000,0 |
|
Yield (%) |
12,9 |
|
Price (KGS) |
100,0 |
|
Date of issue |
11.08.2025 |
|
Date of repayment |
11.08.2028 |
According to the results of the auctions held on August 8, 2025, the yield of 3-year and 7-year ST-Bond issue constituted 12.90% and 15.25%.
The NBKR reported that the auctions for placement of 3 and 7-year ST-Bonds will be held on August 8, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Coupon rate |
Date of issue |
Date of repayment |
Date of coupon payments |
|
GBB03280811 |
7 000 000,00 |
12,9% |
11.08.2025 |
11.08.2028 |
Twice a year on February 11 and August 11 before the maturity date |
|
GBA07320811 |
1 250 000,0 |
7% |
11.08.2025 |
11.08.2032 |
According to the results of the auction held on August 5, 2025, the weighted average yield of 7-day NBKR notes issue constituted 3,43%.
The NBKR reported that the Ministry of Finance of the Kyrgyz Republic announced an addition in the preliminary volumes of issue of the state treasury bonds (ST-Bonds) for August 2025
ST-Bonds (mln. KGS)
|
Date of auction |
Date of issue |
Registration number |
Coupon rate |
Maturity period |
Volume of ST-Bonds issue |
|
08.08.2025 |
11.08.2025 |
GBB03280811 |
12,9% |
3 years |
7 000,0 |
|
08.08.2025 |
11.08.2025 |
GBA07320811 |
7% |
7 years |
1 250,0 |
|
15.08.2025 |
18.08.2025 |
GBA05300818 |
5% |
5 years |
1 600,0 |
|
22.08.2025 |
25.08.2025 |
GBA07320825 |
7% |
7 years |
1 250,0 |
|
Total ST-Bonds: |
11 100,0 |
||||
The NBKR reported that the auction for placement of 7-day NBKR notes will be held on August 5, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
|
BD001250813 |
10 000 000,00 |
NBKR policy rate as of the auction date |
06.08.2025 |
13.08.2025 |
According to the results of the auction(s) held on August 1, 2025, the yield of 15-year ST-Bond issue constituted 0.00%.
The NBKR reported that the auction for placement of 15 years ST-Bonds will be held on August 1, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Coupon rate |
Date of issue |
Date of repayment |
Date of coupon payments |
|
GBA15400804 |
4 000 000,00 |
0,00% |
04.08.2025 |
04.08.2040 |
Twice a year on February 4 and August 4 before the maturity date |
According to the results of the auctions held on July 29, 2025, the weighted average yield of 7 and 182-day NBKR notes issue constituted 3.43% and 5.80%, respectively.
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 August 2025.
ST-Bonds (mln. KGS)
|
Date of auction |
Date of issue |
Registration number |
Coupon rate |
Maturity period |
Volume of ST-Bonds issue |
|
01.08.2025 |
04.08.2025 |
GBA15400804 |
0% |
15 years |
4 000,0 |
|
08.08.2025 |
11.08.2025 |
GBA07320811 |
7% |
7 years |
1 250,0 |
|
15.08.2025 |
18.08.2025 |
GBA05300818 |
6% |
5 years |
1 600,0 |
|
22.08.2025 |
25.08.2025 |
GBA07320825 |
7% |
7 years |
1 250,0 |
|
Total ST-Bonds: |
8 100,0 |
||||
The NBKR reported that the auctions for placement of 7 and 182-day NBKR notes will be held on July 29, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
|
BD001250806 |
10 000 000,00 |
NBKR policy rate as of the auction date |
30.07.2025 |
06.08.2025 |
|
BD026260128 |
500 000,00 |
Rate of «Overnight» loan as of the auction date |
30.07.2025 |
28.01.2026 |
According to the results of the auctions held on July 25, 2025, the yield of 5-year and 10-year ST-Bond issue constituted 0.00% and 16.00%.
The NBKR reported that the auction for placement of 5 years ST-Bonds will be held on July 25, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Coupon rate |
Date of issue |
Date of repayment |
Date of coupon payments |
|
GBA05300728 |
1 312 500,00 |
0,00% |
28.07.2025 |
28.07.2030 |
28.07.2030 |
The NBKR reported that the Ministry of Finance of the Kyrgyz Republic announced an addition in the preliminary volumes of issue of the state treasury bonds (ST-Bonds) for July 2025
ST-Bonds (mln. KGS)
|
Date of auction |
Date of issue |
Registration number |
Coupon rate |
Maturity period |
Volume of ST-Bonds issue |
|
25.07.2025 |
28.07.2025 |
GBA05300728 |
0% |
5 years |
1 312,5 |
|
25.07.2025 |
28.07.2025 |
GBA10350728 |
8% |
10 years |
1 900,0 |
|
Total ST-Bonds: |
3 212,5 |
||||
The NBKR reported that the auction(s) for placement of 10-year ST-Bonds will be held on July 25, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Coupon rate |
Date of issue |
Date of repayment |
Date of coupon payments |
|
GBA10350728 |
1 900 000,00 |
8,00% |
28.07.2025 |
28.07.2035 |
Twice a year on January 28 and July 28 before the maturity date |
According to the results of the auctions held on July 22, 2025, the weighted average yield of 7 and 91-day NBKR notes issue constituted 3.43% and 4.40%, respectively.
The NBKR reported that the auctions for placement of 7 and 91-day NBKR notes will be held on July 22, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
|
BD001250730 |
10 000 000,00 |
NBKR policy rate as of the auction date |
23.07.2025 |
30.07.2025 |
|
BD013251022 |
1 000 000,00 |
Rate of «Overnight» loan as of the auction date |
23.07.2025 |
22.10.2025 |
According to the results of the auction(s) held on July 18, 2025, the yield of 10-year ST-Bond issue constituted 16.00%.
The NBKR reported that the auction(s) for placement of 10-year ST-Bonds will be held on July 18, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Coupon rate |
Date of issue |
Date of repayment |
Date of coupon payments |
|
GBA10350721 |
1 100 000,00 |
8,00% |
21.07.2025 |
21.07.2035 |
Twice a year on January 21 and July 21 before the maturity date |
The NBKR reported that the Ministry of Finance of the Kyrgyz Republic announced a change in the preliminary volumes of issue of the state treasury bonds (ST-Bonds) for July 2025
ST-Bonds (mln. KGS)
|
Date of auction |
Date of issue |
Registration number |
Coupon rate |
Maturity period |
Volume of ST-Bonds issue |
|
18.07.2025 |
21.07.2025 |
GBA10350721 |
8% |
10 years |
1 100,0 |
|
25.07.2025 |
28.07.2025 |
GBA10350728 |
8% |
10 years |
1 900,0 |
|
Total ST-Bonds: |
3 000,0 |
||||
According to the results of the auction held on July 15, 2025, the weighted average yield of 7-day NBKR notes issue constituted 3.45%.
The NBKR reported that the auction for placement of 7-day NBKR notes will be held on July 15, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
|
BD001250723 |
10 000 000,00 |
NBKR policy rate as of the auction date |
16.07.2025 |
23.07.2025 |
According to the results of the auctions held on July 11, 2025, the yield of 3-year ST-Bond issue constituted 12.90%. Auction for 5-year ST-Bonds was declared invalid due to insufficient number of participants.
The NBKR reported that the auctions for placement of 3 and 5-year ST-Bonds will be held on July 11, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Coupon rate |
Date of issue |
Date of repayment |
Date of coupon payments |
|
GBA03280714 |
500 000,00 |
5,00% |
14.07.2025 |
14.07.2028 |
Twice a year on January 14 and July 14 before the maturity date |
|
GBA05300714 |
1 312 500,00 |
0,00% |
14.07.2025 |
14.07.2030 |
The NBKR reported that the Ministry of Finance of the Kyrgyz Republic announced a change in the preliminary volumes of issue of the state treasury bonds (ST-Bonds) for July 2025
ST-Bonds (mln. KGS)
|
Date of auction |
Date of issue |
Registration number |
Coupon rate |
Maturity period |
Volume of ST-Bonds issue |
|
11.07.2025 |
14.07.2025 |
GBA05300714 |
0% |
5 years |
1 312,5 |
|
11.07.2025 |
14.07.2025 |
GBA03280714 |
5% |
3 years |
500,0 |
|
18.07.2025 |
21.07.2025 |
GBA15400721 |
0% |
15 years |
4 000,0 |
|
18.07.2025 |
21.07.2025 |
GBA10350721 |
8% |
10 years |
1 100,0 |
|
25.07.2025 |
28.07.2025 |
GBA10350728 |
8% |
10 years |
1 900,0 |
|
Total ST-Bonds: |
8 812,5 |
||||
According to the results of the auction held on July 8, 2025, the weighted average yield of 7-day NBKR notes issue constituted 3.43%.
The NBKR reported that the auction for placement of 7-day NBKR notes will be held on July 8, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
|
BD001250716 |
10 000 000,00 |
NBKR policy rate as of the auction date |
09.07.2025 |
16.07.2025 |
According to the results of the auctions held on July 4, 2025, the yield of 3-year ST-Bond issue constituted 12.88%.
The NBKR reported that the auction for placement of 3 years ST-Bonds will be held on July 4, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Coupon rate |
Date of issue |
Date of repayment |
Date of coupon payments |
|
GBA03280707 |
550 000,00 |
5,00% |
07.07.2025 |
07.07.2028 |
Twice a year on January 7 and July 7 before the maturity date |
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 July 2025.
ST-Bonds (mln. KGS)
|
Date of auction |
Date of issue |
Registration number |
Coupon rate |
Maturity period |
Volume of ST-Bonds issue |
|
04.07.2025 |
07.07.2025 |
GBA03280707 |
5% |
3 years |
550,0 |
|
11.07.2025 |
14.07.2025 |
GBA03280714 |
5% |
3 years |
500,0 |
|
18.07.2025 |
21.07.2025 |
GBA10350721 |
8% |
10 years |
1 100,0 |
|
25.07.2025 |
28.07.2025 |
GBA10350728 |
8% |
10 years |
1 900,0 |
|
Total ST-Bonds: |
4 050,0 |
||||
According to the results of the auctions held on July 1, 2025, the weighted average yield of 7 and 182-day NBKR notes issue constituted 3.43% and 6.00%, respectively.
The NBKR reported that the auctions for placement of 7 and 182-day NBKR notes will be held on July 1, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
|
BD001250709 |
10 000 000,00 |
NBKR policy rate as of the auction date |
02.07.2025 |
09.07.2025 |
|
BD026251231 |
500 000,00 |
Rate of «Overnight» loan as of the auction date |
02.07.2025 |
31.12.2025 |
According to the results of the auctions held on June 27, 2025, the yield of 15-year ST-Bond issue constituted 3.00%.
Credit auction dated June 26, 2025 was declared void due to lack of demand.
The NBKR reported that the Ministry of Finance of the Kyrgyz Republic announced a change in the preliminary volumes of issue of the state treasury bonds (ST-Bonds) for June 2025
ST-Bonds (mln. KGS)
|
Date of auction |
Date of issue |
Registration number |
Coupon rate |
Maturity period |
Volume of ST-Bonds issue |
|
27.06.2025 |
30.06.2025 |
GBA15400630 |
3% |
15 years |
60 000,0 |
|
Total ST-Bonds: |
60 000,0 |
||||
According to the results of the auctions held on June 24, 2025, the weighted average yield of 7 and 91-day NBKR notes issue constituted 3.43% and 4.50%, respectively.
The NBKR reported that the auctions for placement of 7 and 91-day NBKR notes will be held on June 24, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
|
BD001250702 |
10 000 000,00 |
NBKR policy rate as of the auction date |
25.06.2025 |
02.07.2025 |
|
BD013250924 |
1 000 000,00 |
Rate of «Overnight» loan as of the auction date |
25.06.2025 |
24.09.2025 |
According to the results of the auctions held on June 20, 2025, the yield of 7-year ST-Bond issue constituted 15.25%.
The NBKR reported that the auction for placement of 7 years ST-Bonds will be held on June 20, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Coupon rate |
Date of issue |
Date of repayment |
Date of coupon payments |
|
GBA07320623 |
750 000,00 |
7,00% |
23.06.2025 |
23.06.2032 |
Twice a year on December 23 and June 23 before the maturity date |
According to the results of the auction held on June 17, 2025, the weighted average yield of 7-day NBKR notes issue constituted 3.43%.
The NBKR reported that the auction for placement of 7-day NBKR notes will be held on June 17, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
|
BD001250625 |
10 000 000,00 |
NBKR policy rate as of the auction date |
18.06.2025 |
25.06.2025 |
According to the results of the auctions held on June 13, 2025, the yield of 5-year ST-Bond issue constituted 15.20%.
The NBKR reported that the auction(s) for placement of 5-year ST-Bonds will be held on June 13, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Coupon rate |
Date of issue |
Date of repayment |
Date of coupon payments |
|
GBA05300616 |
3 300 000,00 |
6,00% |
16.06.2025 |
16.06.2030 |
Twice a year on December 16 and June 16 before the maturity date |
According to the results of the auction held on June 10, 2025, the weighted average yield of 7-day NBKR notes issue constituted 3.43%.
The NBKR reported that the auction for placement of 7-day NBKR notes will be held on June 10, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
|
BD001250618 |
10 000 000,00 |
NBKR policy rate as of the auction date |
11.06.2025 |
18.06.2025 |
According to the results of the auctions held on June 5, 2025, the yield of 3-year and 7-year ST-Bond issue constituted 12.91% and 15.25%.
The NBKR reported that the auctions for placement of 3 and 7-year ST-Bonds will be held on June 5, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Coupon rate |
Date of issue |
Date of repayment |
Date of coupon payments |
|
GBB03280609 |
4 150 000,00 |
12,91% |
09.06.2025 |
09.06.2028 |
Twice a year on December 9 and June 9 before the maturity date |
|
GBA07320609 |
650 000,00 |
7,00% |
09.06.2025 |
09.06.2032 |
The NBKR reported that the Ministry of Finance of the Kyrgyz Republic announced a change in the preliminary volumes of issue of the state treasury bonds (ST-Bonds) for June 2025
ST-Bonds (mln. KGS)
|
Date of auction |
Date of issue |
Registration number |
Coupon rate |
Maturity period |
Volume of ST-Bonds issue |
|
05.06.2025 |
09.06.2025 |
GBA07320609 |
7% |
7 years |
650,0 |
|
05.06.2025 |
09.06.2025 |
GBB03280609 |
12,91% |
3 years |
4 150,0 |
|
13.06.2025 |
16.16.2025 |
GBA05300616 |
6% |
5 years |
3 300,0 |
|
20.06.2025 |
23.06.2025 |
GBA07320623 |
7% |
7 years |
750,0 |
|
Total ST-Bonds: |
8 850,0 |
||||
According to the results of the auction held on June 3, 2025, the weighted average yield of 7-day NBKR notes issue constituted 3.43%.
The NBKR reported that the auction for placement of 7-day NBKR notes will be held on June 3, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
|
BD001250611 |
10 000 000,00 |
NBKR policy rate as of the auction date |
04.06.2025 |
11.06.2025 |
According to the results of the auctions held on May 30, 2025, the yield of 5-year ST-Bond issue constituted 15.20%.
The NBKR reported that the auction(s) for placement of 5-year ST-Bonds will be held on May 30, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Coupon rate |
Date of issue |
Date of repayment |
Date of coupon payments |
|
GBA05300602 |
700 000,00 |
6,00% |
02.06.2025 |
02.06.2030 |
Twice a year on December 2 and June 2 before the maturity date |
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 June 2025.
ST-Bonds (mln. KGS)
|
Date of auction |
Date of issue |
Registration number |
Coupon rate |
Maturity period |
Volume of ST-Bonds issue |
|
30.05.2025 |
02.06.2025 |
GBA05300602 |
6% |
5 years |
700,0 |
|
06.06.2025 |
09.06.2025 |
GBA07320609 |
7% |
7 years |
250,0 |
|
13.06.2025 |
16.06.2025 |
GBA03280616 |
5% |
3 years |
200,0 |
|
20.06.2025 |
23.06.2025 |
GBA07320623 |
7% |
7 years |
250,0 |
|
Total ST-Bonds: |
1 400,0 |
||||
According to the results of the auction held on May 27, 2025, the weighted average yield of 7-day NBKR notes issue constituted 3.43%.
The NBKR reported that the auction for placement of 7-day NBKR notes will be held on May 27, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
|
BD001250604 |
10 000 000,00 |
NBKR policy rate as of the auction date |
28.05.2025 |
04.06.2025 |
On May 26, 2025, the additional placement of 5-year ST-Bonds did not take place due to lack of demand.
On May 26, 2025, the National Bank of the Kyrgyz Republic will conduct an additional (non-auction) placement of 5-year ST-Bonds.
Parameters of additional placement
|
Issue No. |
GBA05300526 |
|
Volume of issue, thous. KGS |
700 000,00 |
|
Yield (%) |
15,20 |
|
Price (KGS) |
68,57 |
|
Date of issue |
26.05.2025 |
|
Date of repayment |
26.05.2030 |
According to the results of the auctions held on May 23, 2025, the yield of 5-year and 10-year ST-Bond issue constituted 15.20% and 16.00%.
The NBKR reported that the auctions for placement of 5 and 10-year ST-Bonds will be held on May 23, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Coupon rate |
Date of issue |
Date of repayment |
Date of coupon payments |
|
GBA05300526 |
850 000,00 |
6,00% |
26.05.2025 |
26.05.2030 |
Twice a year on November 26 and May 26 before the maturity date |
|
GBA10350526 |
1 400 000,00 |
8,00% |
26.05.2025 |
26.05.2035 |
According to the results of the auction held on May 20, 2025, the weighted average yield of 7-day NBKR notes issue constituted 3.43%.
The NBKR reported that the auction for placement of 7-day NBKR notes will be held on May 20, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
|
BD001250528 |
10 000 000,00 |
NBKR policy rate as of the auction date |
21.05.2025 |
28.05.2025 |
According to the results of the auctions held on May 16, 2025, the yield of 10-year ST-Bond issue constituted 16.00%. Auction for 3-year ST-Bonds was declared void due to lack of demand.
The NBKR reported that the auctions for placement of 3 and 10-year ST-Bonds will be held on May 16, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Coupon rate |
Date of issue |
Date of repayment |
Date of coupon payments |
|
GBA03280519 |
750 000,00 |
5,00% |
19.05.2025 |
19.05.2028 |
Twice a year on November 19 and May 19 before the maturity date |
|
GBA10350519 |
1 400 000,00 |
8,00% |
19.05.2025 |
19.05.2035 |
According to the results of the auction held on May 13, 2025, the weighted average yield of 7-day NBKR notes issue constituted 3.43%.
The NBKR reported that the auction for placement of 7-day NBKR notes will be held on May 13, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
|
BD001250521 |
10 000 000,00 |
NBKR policy rate as of the auction date |
14.05.2025 |
21.05.2025 |
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 May 2025.
ST-Bonds (mln. KGS)
|
Date of auction |
Date of issue |
Registration number |
Coupon rate |
Maturity period |
Volume of ST-Bonds issue |
|
16.05.2025 |
19.05.2025 |
GBA03280519 |
5% |
3 years |
750,0 |
|
16.05.2025 |
19.05.2025 |
GBA10350519 |
8% |
10 years |
1 400,0 |
|
23.05.2025 |
26.05.2025 |
GBA05300526 |
6% |
5 years |
850,0 |
|
23.05.2025 |
26.05.2025 |
GBA10350526 |
8% |
10 years |
1 400,0 |
|
Total ST-Bonds: |
4 400,0 |
||||
According to the results of the auction held on April 29, 2025, the weighted average yield of 7-day NBKR notes issue constituted 3.43%.
The NBKR reported that the auction for placement of 7-day NBKR notes will be held on April 29, 2025.
|
Issue No. |
Volume of issue (thous. KGS) |
Maximum maturity (%) |
Date of issue |
Date of repayment |
|
BD001250507 |
10 000 000,00 |
NBKR policy rate as of the auction date |
30.04.2025 |
07.05.2025 |