Auctions and Issuance Calendar 2020

SGS Bonds, T-bills and Savings Bonds are issued according to an issuance calendar published around October/November the year before. The issuance calendar for MAS Bills and MAS Floating Rate Notes (FRN) is published semi-annually in May and November.

Issuance Calendar 2020

SGS Bonds

SGS Bonds - Mini-auctions (optional)

Find out more about mini-auctions.

Bond Announcement Date Size Announcement Date Auction Date Issuance Date Maturity Date Tenor Issue Code ISIN Code Status
01 Jun 2020 19 Jun 2020 26 Jun 2020 01 Jul 2020 01 Mar 2050 30-year NA20100F SGXF27246101

Closed
View details

03 Aug 2020 20 Aug 2020 27 Aug 2020  01 Sep 2020 01 Mar 2050 30-year NA20100F SGXF27246101 Closed
View details
Notes:
  • View the announcement (407.4 KB) accompanying the 2020 issuance calendar.
  • The issuance calendar is subject to revision by MAS.
  • All bonds in the calendar will become benchmarks for their respective tenors upon issuance, except for this bond which will remain as a non-benchmark bond:
    • N518100E (Feb-23) – issue date on 4 May 2020.
  • View past auction announcements and results.
  • If an issuance, auction, coupon payment or redemption date falls on a day when MAS' electronic payment system is not in operation, the transaction will take place on the next business day.

Savings Bonds

The issuance size and interest rates are announced on the Savings Bond website on the first business day of each month.

Notes:
  • The issuance calendar is subject to revision by MAS.
  • View past announcements and results.
  • You can apply to redeem your Savings Bonds each month between the announcement date and application closing date. Redemptions will take place on the issuance date of the new Savings Bond issue. The Savings Bonds will be redeemed at face value plus accrued interest.
  • If an issuance, auction, coupon payment or redemption date falls on a day when MAS' electronic payment system is not in operation, the transaction will take place on the next business day.

MAS bills are available only to institutional investors .

Second Half of 2020

July 2020
Announcement Date Auction Date Issue Date Maturity Date Tenor Issue Code ISIN Code Status
29 Jun 2020 30 Jun 2020 03 Jul 2020 03 Aug 2020 4-week MD20126V SGXZ55777387 View details
29 Jun 2020 30 Jun 2020 03 Jul 2020 25 Sep 2020 12-week ML20126W SGXZ38945671 View details
06 Jul 2020 07 Jul 2020 13 Jul 2020 07 Aug 2020 4-week MD20127A SGXZ10645471

View details

06 Jul 2020 07 Jul 2020 13 Jul 2020 02 Oct 2020 12-week ML20127N SGXZ67881797

View details

13 Jul 2020 14 Jul 2020 17 Jul 2020 14 Aug 2020 4-week MD20128E SGXZ71338552 View details
13 Jul 2020 14 Jul 2020 17 Jul 2020 09 Oct 2020 12-week ML20128V SGXZ69680320 View details
20 Jul 2020 21 Jul 2020 24 Jul 2020 21 Aug 2020 4-week MD20129F SGXZ17072240 View details
20 Jul 2020 21 Jul 2020 24 Jul 2020 16 Oct 2020 12-week ML20129A SGXZ59677351 View details
27 Jul 2020 28 Jul 2020 03 Aug 2020 28 Aug 2020 4-week MD20130W SGXZ31878333 View details
27 Jul 2020 28 Jul 2020 03 Aug 2020 23 Oct 2020 12-week ML20130T SGXZ21485271 View details
August 2020
Announcement Date Auction Date Issue Date Maturity Date Tenor Issue Code ISIN Code Status
03 Aug 2020 04 Aug 2020 07 Aug 2020 04 Sep 2020 4-week MD20131N SGXZ11321023 View details
03 Aug 2020 04 Aug 2020 07 Aug 2020 30 Oct 2020 12-week ML20131X SGXZ37723533 View details
11 Aug 2020 12 Aug 2020 14 Aug 2020 11 Sep 2020 4-week MD20132V SGXZ15244460 View details
11 Aug 2020 12 Aug 2020 14 Aug 2020 06 Nov 2020 12-week ML20132W SGXZ18166496 View details
17 Aug 2020 18 Aug 2020 21 Aug 2020 18 Sep 2020 4-week MD20133A SGXZ78951050 View details
17 Aug 2020 18 Aug 2020 21 Aug 2020 13 Nov 2020 12-week ML20133N SGXZ49648553 View details
24 Aug 2020 25 Aug 2020 28 Aug 2020 25 Sep 2020 4-week MD20134E SGXZ53842738 View details
24 Aug 2020 25 Aug 2020 28 Aug 2020 20 Nov 2020 12-week ML20134V SGXZ40514028 View details
31 Aug 2020 01 Sep 2020  04 Sep 2020 02 Oct 2020  4-week  MD20135F  SGXZ26141424  View details 
31 Aug 2020  01 Sep 2020  04 Sep 2020  27 Nov 2020  12-week  ML20135A  SGXZ72512205  View details 
September 2020
Announcement Date Auction Date Issue Date Maturity Date Tenor Issue Code ISIN Code Status
07 Sep 2020 08 Sep 2020 11 Sep 2020 09 Oct 2020 4-week MD20136Z SGXZ20698346 View details
07 Sep 2020 08 Sep 2020 11 Sep 2020 04 Dec 2020 12-week ML20136E SGXZ13906201 View details
14 Sep 2020 15 Sep 2020 18 Sep 2020 16 Oct 2020 4-week MD20137S SGXZ87893467 View details
14 Sep 2020 15 Sep 2020 18 Sep 2020 11 Dec 2020 12-week ML20137F SGXZ27889450 View details
21 Sep 2020 22 Sep 2020 25 Sep 2020 23 Oct 2020 4-week MD20138H SGXZ10352334 View details
21 Sep 2020 22 Sep 2020 25 Sep 2020 18 Dec 2020 12-week ML20138Z SGXZ52832524 View details
28 Sep 2020 29 Sep 2020 02 Oct 2020 30 Oct 2020 4-week MD20139T SGXZ93294940 View details
28 Sep 2020 29 Sep 2020 02 Oct 2020 28 Dec 2020 12-week ML20139S SGXZ19044643 View details
October 2020
Announcement Date Auction Date Issue Date Maturity Date Tenor Issue Code ISIN Code Status
05 Oct 2020 06 Oct 2020 09 Oct 2020 06 Nov 2020 4-week MD20140E SGXZ86708229 View details
05 Oct 2020 06 Oct 2020 09 Oct 2020 04 Jan 2021 12-week ML20140V SGXZ90563180 View details
12 Oct 2020 13 Oct 2020 16 Oct 2020 13 Nov 2020 4-week MD20141F SGXZ24999336 View details
12 Oct 2020 13 Oct 2020 16 Oct 2020 08 Jan 2021 12-week ML20141A SGXZ70729975 View details
19 Oct 2020 20 Oct 2020 23 Oct 2020 20 Nov 2020 4-week MD20142Z SGXZ60525169 View details
19 Oct 2020 20 Oct 2020 23 Oct 2020 15 Jan 2021 12-week ML20142E SGXZ37322674 View details
26 Oct 2020 27 Oct 2020 30 Oct 2020 27 Nov 2020 4-week MD20143S SGXZ32238941 View details
26 Oct 2020 27 Oct 2020 30 Oct 2020 22 Jan 2021 12-week ML20143F SGXZ49107170 View details
November 2020
Announcement Date Auction Date Issue Date Maturity Date Tenor Issue Code ISIN Code Status
02 Nov 2020 03 Nov 2020 06 Nov 2020 04 Dec 2020 4-week MD20144H SGXZ73288490 View details
02 Nov 2020 03 Nov 2020 06 Nov 2020 29 Jan 2021 12-week ML20144Z SGXZ38617460 View details
09 Nov 2020 10 Nov 2020 13 Nov 2020 11 Dec 2020 4-week MD20145T SGXZ64324395 View details
09 Nov 2020 10 Nov 2020 13 Nov 2020 05 Feb 2021 12-week ML20145S SGXZ39150255 View details
16 Nov 2020 17 Nov 2020 20 Nov 2020 18 Dec 2020  4-week MD20146X SGXZ59839621 View details
16 Nov 2020 17 Nov 2020 20 Nov 2020 15 Feb 2021 12-week ML20146H SGXZ42235689 View details
23 Nov 2020 24 Nov 2020 27 Nov 2020 28 Dec 2020 4-week MD20147W SGXZ49951221 View details
23 Nov 2020 24 Nov 2020 27 Nov 2020 19 Feb 2021 12-week ML20147T SGXZ29883790 View details
30 Nov 2020  01 Dec 2020  04 Dec 2020  04 Jan 2021  4-week  MD20148N  SGXZ25987264  View details 
30 Nov 2020  01 Dec 2020  04 Dec 2020  26 Feb 2021  12-week  ML20148X  SGXZ19181874  View details 
December 2020
Announcement Date Auction Date Issue Date Maturity Date Tenor Issue Code ISIN Code Status
07 Dec 2020 08 Dec 2020 11 Dec 2020 08 Jan 2021 4-week MD20149V SGXZ44183655 View details
07 Dec 2020 08 Dec 2020 11 Dec 2020 05 Mar 2021 12-week ML20149W SGXZ83426973 View details
14 Dec 2020 15 Dec 2020 18 Dec 2020 15 Jan 2021 4-week MD20150H SGXZ62654926 View details
14 Dec 2020 15 Dec 2020 18 Dec 2020 12 Mar 2021 12-week ML20150Z SGXZ48612758 View details
21 Dec 2020 22 Dec 2020 28 Dec 2020 22 Jan 2021 4-week MD20151T SGXZ28297885 View details
21 Dec 2020 22 Dec 2020 28 Dec 2020 19 Mar 2021 12-week ML20151S SGXZ63629042 View details

First Half of 2020

January 2020
Announcement Date Auction Date Issue Date Maturity Date Tenor Issue Code ISIN Code Status
30 Dec 2019 31 Dec 2019 03 Jan 2020 31 Jan 2020 4-week MD20100X SGXZ84172725 View details
30 Dec 2019 31 Dec 2019 03 Jan 2020 27 Mar 2020 12-week ML20100H SGXZ22545701 View details
06 Jan 2020 07 Jan 2020 10 Jan 2020 07 Feb 2020 4-week MD20101W SGXZ92628098

View details

06 Jan 2020 07 Jan 2020 10 Jan 2020 03 Apr 2020 12-week ML20101T SGXZ94159696

View details

13 Jan 2020 14 Jan 2020 17 Jan 2020 14 Feb 2020 4-week MD20102N SGXZ39597406 View details
13 Jan 2020 14 Jan 2020 17 Jan 2020 13 Apr 2020 12-week ML20102X SGXZ85011633 View details
20 Jan 2020 21 Jan 2020 24 Jan 2020 21 Feb 2020 4-week MD20103V SGXZ53954038 View details
20 Jan 2020 21 Jan 2020 24 Jan 2020 17 Apr 2020 12-week ML20103W SGXZ57450199 View details
28 Jan 2020 29 Jan 2020 31 Jan 2020 28 Feb 2020 4-week MD20104A SGXZ36703197 View details
28 Jan 2020 29 Jan 2020 31 Jan 2020 24 Apr 2020 12-week ML20104N SGXZ91549717 View details
February 2020
Announcement Date  Auction Date Issue Date   Maturity Date Tenor   Issue Code ISIN Code  Status 
03 Feb 2020 04 Feb 2020 07 Feb 2020 06 Mar 2020 4-week MD20105E SGXZ37545696 View details
03 Feb 2020 04 Feb 2020 07 Feb 2020 04 May 2020 12-week ML20105V SGXZ85518884 View details
10 Feb 2020 11 Feb 2020 14 Feb 2020 13 Mar 2020 4-week MD20106F SGXZ76332014 View details
10 Feb 2020 11 Feb 2020 14 Feb 2020 08 May 2020 12-week ML20106A SGXZ47077664 View details
17 Feb 2020 18 Feb 2020 21 Feb 2020 20 Mar 2020 4-week MD20107Z SGXZ17187675 View details
17 Feb 2020 18 Feb 2020 21 Feb 2020 15 May 2020 12-week ML20107E SGXZ89138184 View details
24 Feb 2020 25 Feb 2020 28 Feb 2020 27 Mar 2020 4-week MD20108S SGXZ93712339 View details
24 Feb 2020 25 Feb 2020 28 Feb 2020 22 May 2020 12-week ML20108F SGXZ20654794 View details
March 2020
Announcement Date Auction Date Issue Date Maturity Date Tenor Issue Code ISIN Code Status
02 Mar 2020 03 Mar 2020 06 Mar 2020 03 Apr 2020 4-week MD20109H SGXZ49573306 View details
02 Mar 2020 03 Mar 2020 06 Mar 2020 29 May 2020 12-week ML20109Z SGXZ71238919 View details
09 Mar 2020 10 Mar 2020 13 Mar 2020 13 Apr 2020 4-week MD20110A SGXZ64547847 View details
09 Mar 2020 10 Mar 2020 13 Mar 2020 05 Jun 2020 12-week ML20110N SGXZ43137157 View details
16 Mar 2020 17 Mar 2020 20 Mar 2020 17 Apr 2020 4-week MD20111E SGXZ26342154 View details
16 Mar 2020 17 Mar 2020 20 Mar 2020 12 Jun 2020 12-week ML20111V SGXZ64614233 View details
23 Mar 2020 24 Mar 2020 27 Mar 2020 24 Apr 2020 4-week MD20112F SGXZ71738397 View details
23 Mar 2020 24 Mar 2020 27 Mar 2020 19 Jun 2020 12-week ML20112A SGXZ73089658 View details
30 Mar 2020 31 Mar 2020 03 Apr 2020 04 May 2020 4-week MD20113Z SGXZ70195979 View details
30 Mar 2020 31 Mar 2020 03 Apr 2020 26 Jun 2020 12-week ML20113E SGXZ80459092 View details
April 2020
Announcement Date Auction Date Issue Date Maturity Date Tenor Issue Code ISIN Code Status
06 Apr 2020 07 Apr 2020 13 Apr 2020 08 May 2020 4-week MD20114S SGXZ74996828 View details
06 Apr 2020 07 Apr 2020 13 Apr 2020 03 Jul 2020 12-week ML20114F SGXZ90593260 View details
13 Apr 2020 14 Apr 2020 17 Apr 2020 15 May 2020 4-week MD20115H SGXZ58167107 View details
13 Apr 2020 14 Apr 2020 17 Apr 2020 13 Jul 2020 12-week ML20115Z SGXZ32990558 View details
20 Apr 2020 21 Apr 2020 24 Apr 2020 22 May 2020 4-week MD20116T SGXZ26645283 View details
20 Apr 2020 21 Apr 2020 24 Apr 2020 17 Jul 2020 12-week ML20116S SGXZ40560708 View details
27 Apr 2020 28 Apr 2020 04 May 2020 29 May 2020 4-week MD20117X SGXZ72530835 View details
27 Apr 2020 28 Apr 2020 04 May 2020 24 Jul 2020 12-week ML20117H SGXZ49779986 View details
May 2020
Announcement Date Auction Date Issue Date Maturity Date Tenor Issue Code ISIN Code Status
04 May 2020 05 May 2020 08 May 2020 05 Jun 2020 4-week MD20118W SGXZ92548767 View details
04 May 2020 05 May 2020 08 May 2020 03 Aug 2020 12-week ML20118T SGXZ35033471 View details
11 May 2020 12 May 2020 15 May 2020 12 Jun 2020 4-week MD20119N SGXZ51621191 View details
11 May 2020 12 May 2020 15 May 2020 07 Aug 2020 12-week ML20119X SGXZ18288548 View details
18 May 2020 19 May 2020 22 May 2020 19 Jun 2020 4-week MD20120S SGXZ19038553 View details
18 May 2020 19 May 2020 22 May 2020 14 Aug 2020 12-week ML20120F SGXZ40841306 View details
26 May 2020 27 May 2020 29 May 2020 26 Jun 2020 4-week MD20121H SGXZ73834772 View details
26 May 2020 27 May 2020 29 May 2020 21 Aug 2020 12-week ML20121Z SGXZ59782680 View details
Jun 2020
Announcement Date Auction Date Issue Date Maturity Date Tenor Issue Code ISIN Code Status
01 Jun 2020 02 Jun 2020 05 Jun 2020 03 Jul 2020 4-week MD20122T SGXZ10097558 View details
01 Jun 2020 02 Jun 2020 05 Jun 2020 28 Aug 2020 12-week ML20122S SGXZ53864203 View details
08 Jun 2020 09 Jun 2020 12 Jun 2020 13 Jul 2020 4-week MD20123X SGXZ52764404 View details
08 Jun 2020 09 Jun 2020 12 Jun 2020 04 Sep 2020 12-week ML20123H SGXZ50957737 View details
15 Jun 2020 16 Jun 2020 19 Jun 2020 17 Jul 2020 4-week MD20124W SGXZ43630607 View details
15 Jun 2020 16 Jun 2020 19 Jun 2020 11 Sep 2020 12-week ML20124T SGXZ99998577 View details
22 Jun 2020 23 Jun 2020 26 Jun 2020 24 Jul 2020 4-week MD20125N SGXZ34007898 View details
22 Jun 2020 23 Jun 2020 26 Jun 2020 18 Sep 2020 12-week ML20125X SGXZ70977202 View details

Notes:
  • The issuance calendar is subject to revision by MAS.
  • The issuance calendar for 1H 2021 will be released in Nov 2020.
  • If an issuance, auction, coupon payment or redemption date falls on a day when MAS' electronic payment system is not in operation, the transaction will take place on the next business day.

MAS FRN

MAS FRN are only available to institutional investors .

Notes:
  • The issuance calendar is subject to revision by MAS.
  • The issuance calendar for MAS FRN for 2H 2020 will be released in August 2020 for the first issuance.
  • If an issuance, auction, coupon payment or redemption date falls on a day when MAS' electronic payment system is not in operation, the transaction will take place on the next business day.