Auction and Issuance Calendar 2021

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 Floating Rate Notes (FRN) is published semi-annually in May and November. As CMTBs are issued on an ad-hoc basis, the Issuance Calendar will be updated as and when new CMTBs are announced.

SGS Bonds - Mini-auctions (optional)

Find out more about mini-auctions.

Bond Announcement Date Size Announcement Date Auction Date Issue Date Maturity Date Tenor Issue Code ISIN Code Status
03 May 2021 19 May 2021 27 May 2021 01 Jun 2021 01 Feb 2024 ** 2-year N519100A SGXF92110679 

Closed View Details

No mini-auction* NA  NA  NA  NA  NA   NA NA  NA
Notes:
  • View the announcement (128 KB) accompanying the 2021 Issuance Calendar.
  • The 2022 SGS Issuance Calendar will be released in October/November 2021.
  • The issuance calendar is subject to revision by MAS.
  • ** All bonds in the calendar will become benchmarks for their respective tenors after the auction, except for these bonds which will remain as non-benchmark bonds:
    • N520100A (Nov-25) – issue date on 2 Aug 2021.
    • N519100A (Feb-24) – issue date on 1 Jun 2021
  • View past SGS Bonds issuances at the statistics page.
  • 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.
  • Following market feedback from primary dealers, MAS will not be holding a mini-auction on 28 September 2021.

Notes:
  • View the announcement (128 KB) accompanying the 2021 Issuance Calendar.
  • The 2022 SGS Issuance Calendar will be released in October/November 2021.
  • The issuance calendar is subject to revision by MAS.
  • The issuance of 3 Month T-bills stopped on 12 December 2013.
  • View past T-bills issuances at the statistics page.
  • 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.
Notes:
  • The 2022 Savings Bonds Issuance Calendar will be released in October/November 2021.
  • The issuance calendar is subject to revision by MAS.
  • View past Savings Bonds issuances at the statistics page
  • 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.

Notes:
  • As CMTBs are issued on an ad-hoc basis, the Issuance Calendar will be updated as and when new CMTBs are announced. 
  • CMTBs can be tailored to any tenor under 6 months. 
  • View past CMTBs issuances at the statistics page
  • 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.   

Notes:
  • The issuance calendar is subject to revision by MAS.
  • The issuance calendar for 1H 2022 will be released in Nov 2021.
  • 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.
Notes:
  • The issuance calendar is subject to revision by MAS.
  • The issuance calendar for MAS FRN for 2H 2021 will be released in May 2021.
  • 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.