Curmi & Partners - Bond Market Overview Malta

Bond Market Overview

Wednesday, 10 June 2026

The local sovereign and corporate bond market remains the most active part of the MSE.  The diverse nature of the issuers gives the investor plenty of scope to select issues that suit their investment requirements.  Liquidity may be tight as bonds of high quality issuers are not always easy to find.

Corporate Bonds (EUR)

Bond
Maturity Date
Volume
Best Bid
(EUR)
Best Offer
(EUR)
Yield To Maturity
(%)
Yield To Worst
(%) *
Closing Price
(EUR)
Last Trade
Ranking
3.25% APS 2025-2030 11/19/2030 - 0.00 0.00 4.58% 94.75 10/06/2026
3.25% AXG 2026 SI 12/20/2026 - 98.50 99.99 7.94% 97.57 10/06/2026
3.5% AXR 2032 02/06/2032 22,400 92.50 94.00 5.05% 92.5 10/06/2026
3.5% BOV 2030 S1 T1 08/08/2030 - 0.00 96.00 5.42% 93 10/06/2026
3.5% BOV 2030 S2 T1 08/08/2030 - 94.00 95.00 5.14% 94 10/06/2026
3.5% GO 2031 6/25/2031 5,300 95.00 95.75 4.63% 95 10/06/2026
3.5% SFC 2027 9/13/2027 - 99.25 100.50 4.11% 99.25 10/06/2026
3.65% IHI 2031 12/07/2031 6,000 93.50 93.95 5.03% 93.5 10/06/2026
3.65% MOF 2028-2031 10/15/2031 - 95.55 96.00 4.59% 95.6 10/06/2026
3.65% STV 2029 7/29/2029 - 0.00 97.50 4.50% 97.57 10/06/2026
3.75% AXG 2029 S2 12/20/2029 - 96.00 99.00 4.05% 99 10/06/2026
3.75% BOV 2026-2031 6/15/2031 - 0.00 95.00 4.66% 96 10/06/2026
3.75% BRX 2027 12/01/2027 - 98.25 99.88 3.74% 99.99 10/06/2026
3.75% MCY 2027 3/27/2027 3,500 97.50 99.00 7.03% 97.5 10/06/2026
3.75% PRC 2026 11/23/2026 - 98.31 99.89 7.46% 98.31 10/06/2026
3.75% TMF 2029 6/27/2029 - 96.45 97.50 4.83% 97 10/06/2026
3.75% TUM 2027 07/10/2027 - 97.26 98.50 6.45% 97.26 10/06/2026
3.75% VRT 2027 11/30/2027 - 98.30 98.99 4.46% 98.99 10/06/2026
3.8% HLF 2029 8/27/2029 - 94.51 95.80 5.01% 96.49 10/06/2026
3.85% HLF 2028 7/24/2028 - 96.01 98.23 5.90% 96.01 10/06/2026
3.9% BRW 2027-2031 07/09/2031 - 95.55 96.00 4.91% 95.55 10/06/2026
3.9% PZC 2026 9/22/2026 - 0.00 100.00 3.79% 100 10/06/2026
4% CBC 2027-2033 11/10/2033 - 0.00 92.50 5.69% 90 10/06/2026
4% CCS 2030 8/19/2030 - 93.12 96.43 5.36% 95 10/06/2026
4% EFC 2027 4/28/2027 - 99.00 99.50 3.98% 100 10/06/2026
4% EXF 2028 8/20/2028 - 97.11 100.00 3.99% 100 10/06/2026
4% HLF 2027 03/11/2027 - 98.09 99.00 5.34% 99 10/06/2026
4% IHI 2026 7/29/2026 - 0.00 0.00 5.12% 99.83 10/06/2026
4% IHI 2026 B 12/20/2026 - 98.27 99.80 7.79% 98.01 10/06/2026
4% LSI 2026-2031 06/02/2031 - 0.00 0.00 4.00% 100 10/06/2026
4% MED 2024-2029 EUR 11/05/2029 - 0.00 98.70 4.97% 97 10/06/2026
4% MIDI 2026 7/27/2026 - 98.00 99.00 19.58% 98 10/06/2026
4% MPC 2032 S1/22 T1 6/30/2032 - 98.00 99.00 4.38% 98 10/06/2026
4% SHM 2026 08/01/2026 - 97.00 97.50 25.36% 97 10/06/2026
4% SPF 2029 05/03/2029 - 97.01 99.49 4.74% 98.03 10/06/2026
4% STV 2027 10/18/2027 - 98.25 98.55 5.40% 98.2 10/06/2026
4.25% CCM 2024-2026 05/08/2026 - 0.00 0.00 16.69% 99.5 23/04/2026
4.25% CLP 2033 8/25/2033 5,000 0.00 99.90 4.41% 99 10/06/2026
4.25% CPHCL 2026 04/12/2026 - 0.00 0.00 54.98% 98.01 30/03/2026
4.25% IZI 2029 4/14/2029 - 0.00 99.95 4.25% 100 10/06/2026
4.25% MCY 2031 3/27/2031 - 0.00 97.50 4.90% 97.25 10/06/2026
4.3% MCY 2032 4/25/2032 - 96.10 97.25 4.90% 96.99 10/06/2026
4.35% HDS 2026 04/06/2026 - 98.01 99.95 35.36% 98 13/03/2026
4.35% SDF 2027 4/25/2027 - 97.90 99.99 4.33% 100 10/06/2026
4.4% CBC 2027 S1/17 T1 07/07/2027 - 0.00 100.00 6.89% 97.5 10/06/2026
4.5% BNF 2027 - 2032 7/29/2032 - 93.01 94.00 5.04% 97.2 10/06/2026
4.5% END 2029 3/22/2029 - 0.00 98.00 4.53% 99.9 10/06/2026
4.5% G3 2032 04/06/2032 10,000 0.00 99.80 4.56% 99.7 10/06/2026
4.5% GHM 2027 8/23/2027 - 97.91 100.00 4.49% 100 10/06/2026
4.5% HIL 2025 10/16/2025 - 98.00 99.00 7.30% 99 06/12/2025
4.5% IZB 2025 6/30/2025 - 0.00 100.00 4.31% 100 06/12/2025
4.5% MDS 2026 EUR 02/05/2026 - 0.00 0.00 4.31% 100 21/01/2026
4.5% ONA 2028 - 2034 6/21/2034 - 96.50 98.39 5.11% 96.05 10/06/2026
4.5% SHM 2032 08/01/2032 - 0.00 87.50 7.42% 86 10/06/2026
4.55% STA 2032 02/07/2032 - 97.01 98.00 4.88% 98.4 10/06/2026
4.65% SMF 2031 4/22/2031 - 97.51 99.81 4.69% 99.81 10/06/2026
4.65% SMF 2032 8/23/2032 - 97.05 99.49 5.23% 97 10/06/2026
4.75% BDPH 2025-2027 11/30/2027 21,600 100.00 0.00 4.73% 100 10/06/2026
4.75% DNF 2033 11/19/2033 - 0.00 98.40 4.97% 98.65 10/06/2026
4.75% GAP 2025-2027 12/22/2027 17,500 100.00 0.00 4.73% 100 10/06/2026
4.75% GLR 2028 11/30/2028 - 95.00 0.00 6.54% 96 10/06/2026
4.75% KAF 2026-2029 8/23/2029 - 0.00 95.00 6.89% 94 10/06/2026
4.8% MMHF 2026 10/14/2026 - 0.00 98.00 7.59% 98.99 10/06/2026
4.85% JDC 2032 S1 T1 11/25/2032 - 0.00 98.99 5.22% 98 10/06/2026
4.9% CLS 2032 02/09/2032 - 99.50 0.00 4.89% 100 10/06/2026
5% BLF 2026-2029 02/07/2029 - 0.00 98.99 5.41% 98.98 10/06/2026
5% BOV 2029-2034 S1 T1 11/28/2034 - 100.00 100.25 5.00% 100 10/06/2026
5% BSB 2029 6/28/2029 - 0.00 99.97 4.64% 101 10/06/2026
5% CFE 2028-2033 01/06/2033 - 98.00 99.00 5.09% 99.5 10/06/2026
5% CVS 2026-2029 03/08/2029 - 99.00 99.50 5.19% 99.5 10/06/2026
5% DZF 2026 10/07/2026 - 0.00 98.99 13.90% 97.1 10/06/2026
5% FES 2029 3/18/2029 - 0.00 0.00 5.59% 98.5 10/06/2026
5% HHF 2023-2028 5/19/2028 - 0.00 0.00 4.99% 99.99 27/10/2025
5% HLF 2029 7/17/2029 - 99.00 100.00 5.35% 99 10/06/2026
5% HLF 2033 02/06/2033 36,100 0.00 100.00 5.00% 100 10/06/2026
5% HRZ 2026-2029 3/15/2029 - 0.00 96.00 4.99% 100 10/06/2026
5% IZB 2027 - 2032 9/15/2032 - 93.01 98.00 5.97% 95 10/06/2026
5% LLF 2028 7/29/2028 - 0.00 95.90 7.08% 96 10/06/2026
5% MDS 2029 12/20/2029 - 99.00 0.00 4.99% 100 10/06/2026
5% MED 2022-2027 EUR 10/13/2027 - 0.00 0.00 4.99% 99.99 10/06/2026
5% MRN 2032 12/16/2032 - 100.00 105.00 4.99% 100 10/06/2026
5% VDH 2032 12/16/2032 - 95.01 97.00 5.56% 97 10/06/2026
5.00% BOV 2030-2035 S1 T1 12/05/2035 - 0.00 100.25 5.00% 100 10/06/2026
5.00% BOV 2030-2035 S2 T1 07/07/2035 - 98.50 100.45 5.00% 100 10/06/2026
5.1% 6PM 2025 7/31/2025 - 0.00 99.99 12.44% 99 06/12/2025
5.10% PLG 2028 -2030 11/19/2030 - 0.00 100.00 4.97% 100.49 10/06/2026
5.2% HHF 2035 10/28/2035 - 97.03 99.89 5.21% 99.89 10/06/2026
5.2% SDF 2031 S1/T1 2/15/2031 900 100.50 100.70 5.07% 100.5 10/06/2026
5.2% SDF 2031 S1/T2 2/15/2031 - 0.00 100.49 5.19% 100 10/06/2026
5.2% SDF 2031 S1/T3 2/15/2031 - 100.00 100.50 5.07% 100.5 10/06/2026
5.2% TUM 2031-2034 11/22/2034 - 99.50 100.99 5.12% 100.5 10/06/2026
5.2% VBL 2030-2034 10/25/2034 5,000 98.51 100.15 5.17% 100.15 10/06/2026
5.25% ACM 2028 -2030 8/20/2030 20,000 97.00 99.90 5.27% 99.89 10/06/2026
5.25% BBP 2033 S1 T1 04/03/2033 - 100.50 101.49 5.25% 100 10/06/2026
5.25% CBC 2025 S2 T1 12/30/2025 - 0.00 101.00 5.13% 100 06/12/2025
5.25% KLF 2027 7/31/2027 - 0.00 0.00 5.24% 100 10/06/2026
5.25% MIH 2027 07/06/2027 - 99.50 100.00 5.24% 100 10/06/2026
5.25% QWR 2033 2/27/2033 - 100.75 102.99 5.11% 100.75 10/06/2026
5.3% GTR 2030 07/04/2030 - 99.00 100.99 5.03% 100.98 10/06/2026
5.3% MCY 2034 09/10/2034 - 98.00 100.95 5.30% 100 10/06/2026
5.30% IHI 2035 04/01/2035 300 100.25 101.95 5.26% 100.25 10/06/2026
5.35% BDPH 2032 2/21/2032 - 0.00 101.00 5.14% 101 10/06/2026
5.35% CPHCL 2035 12/18/2035 - 100.00 101.45 5.34% 100.05 10/06/2026
5.35% DSM 2028 10/28/2028 - 50.07 90.00 10.26% 90 10/06/2026
5.35% HMV 2031-2034 7/26/2034 - 99.51 101.49 5.43% 99.5 10/06/2026
5.35% JMB 2035 11/07/2035 15,000 98.14 100.20 5.28% 100.49 10/06/2026
5.35% MAR 2029-2031 6/27/2031 - 97.01 100.00 5.35% 100 10/06/2026
5.4% AGB 2035 S1 T1 10/10/2035 - 0.00 100.10 5.38% 100.14 10/06/2026
5.4% BBT 2032-2036 04/09/2036 - 99.25 101.45 5.22% 101.3 10/06/2026
5.4% ECL 2031 12/30/2031 - 99.75 100.00 5.39% 100 10/06/2026
5.5% 9HC 2027 6/19/2027 - 0.00 101.50 5.50% 100 10/06/2026
5.5% AES 2036 S1 T2 10/08/2036 - 99.50 100.50 5.43% 100.49 10/06/2026
5.5% FTD 2036 2/27/2036 - 0.00 100.50 5.41% 100.6 10/06/2026
5.5% IGF 2024-2027 5/17/2027 - 0.00 0.00 6.34% 99 17/02/2026
5.5% IZI 2036 04/02/2036 - 0.00 101.00 5.43% 100.5 10/06/2026
5.5% JUE 2035 6/27/2035 - 99.50 100.20 5.64% 99.01 10/06/2026
5.5% QLZ 2030 -2035 S1 T2 7/22/2035 - 98.09 100.00 5.50% 99.99 10/06/2026
5.5% QLZ 2030 -2035 S1T1 7/22/2035 - 98.01 100.00 5.50% 100 10/06/2026
5.5% TST 2029 01/09/2029 - 0.00 98.00 5.91% 99 10/06/2026
5.5% YCT 2021-2025 9/13/2025 - 0.00 0.00 16.49% 98 07/09/2025
5.50% MDS 2031-2036 6/30/2036 - 0.00 0.00 5.17% 102.5 10/06/2026
5.50% TTM 2032 04/02/2032 - 99.61 101.43 5.20% 101.47 10/06/2026
5.6% JDC 2035 5/23/2035 - 97.00 99.50 5.60% 99.99 10/06/2026
5.7% MRK 2033 08/12/2033 15,000 99.01 101.00 5.53% 100.98 10/06/2026
5.70% CBC 2030-2035 S1 T1 12/04/2035 - 0.00 98.99 5.84% 98.99 10/06/2026
5.75% AQC 2027 12/21/2027 - 99.95 100.00 5.76% 99.95 10/06/2026
5.75% BDPH 2027-2029 04/12/2029 - 100.05 101.99 4.97% 102 10/06/2026
5.75% CAV 2032 S1T1 5/26/2032 - 100.00 101.75 5.53% 101.1 10/06/2026
5.75% IGI 2031-2036 02/12/2036 - 0.00 98.95 5.89% 98.95 10/06/2026
5.75% PHN 2028-2033 12/30/2033 - 101.60 103.50 5.50% 101.5 10/06/2026
5.75% PLG 2028 11/23/2028 - 100.17 102.00 4.89% 101.9 10/06/2026
5.8% AES 2036 S1 T1 03/01/2036 - 99.50 101.77 5.66% 101 10/06/2026
5.8% APS 2028-2033 S1 T1 12/01/2033 - 104.00 0.00 5.14% 104 10/06/2026
5.8% GPH 2032 4/22/2032 400 100.75 101.00 5.64% 100.75 10/06/2026
5.85% AXG 2033 11/07/2033 - 103.00 0.00 5.47% 102.25 10/06/2026
5.85% BGA 2034 5/14/2034 - 102.00 103.50 5.30% 103.5 10/06/2026
5.85% MIH 2028 7/31/2028 - 100.01 101.00 4.98% 101.7 10/06/2026
5.9% TGS 2024-2026 7/22/2026 - 0.00 101.00 5.88% 100 06/12/2025
6% IHI 2033 11/14/2033 1,400 102.00 102.99 5.49% 102.99 10/06/2026
6% JDC 2033 S2 T1 7/19/2033 - 100.50 101.25 5.91% 100.5 10/06/2026
6% LDB 2030-2035 S1 T1 7/23/2035 - 0.00 101.75 6.00% 100 10/06/2026
6% MUL 2032 S1 T1 4/27/2032 - 97.00 100.00 6.00% 100 10/06/2026
6% PHC 2033 02/03/2033 - 100.51 102.00 5.90% 100.5 10/06/2026
6.25% AST 2033 6/16/2033 - 100.15 102.59 5.79% 102.6 10/06/2026
6.25% CMF 2034 2/23/2034 2,000 101.60 102.00 5.91% 102 10/06/2026
6.25% GPH 2030 03/10/2030 - 100.13 102.10 5.60% 102.1 10/06/2026
6.25% TGS 2030 -2032 2/14/2032 - 0.00 100.00 6.24% 100 10/06/2026
7.25% HRT 2025-2027 11/28/2027 - 0.00 100.00 7.20% 100 10/06/2026

* Where more than one maturity date exists, YTW is calculated on earliest maturity date.

Corporate Bonds (GBP)

Bond
Maturity Date
Volume
Best Bid
(GBP)
Best Offer
(GBP)
Yield To Maturity
(%)
Yield To Worst
(%) *
Closing Price
(GBP)
Last Trade
Ranking
4% MED 2024-2029 GBP 11/05/2029 - 0.00 96.50 5.14% 96.5 10/06/2026
5% MED 2022-2027 GBP 10/13/2027 - 0.00 0.00 4.98% 100 10/06/2026

* Where more than one maturity date exists, YTW is calculated on earliest maturity date.

Corporate Bonds (USD)

Bond
Maturity Date
Volume
Best Bid
(USD)
Best Offer
(USD)
Yield To Maturity
(%)
Yield To Worst
(%) *
Closing Price
(USD)
Last Trade
Ranking
5.75% MDS 2026 USD 02/05/2026 - 0.00 0.00 5.45% 100 21/01/2026
6.50% MDS 2031-2036 6/30/2036 - 0.00 107.50 6.16% 102.5 10/06/2026

* Where more than one maturity date exists, YTW is calculated on earliest maturity date.

Government Bonds (EUR)

Bond
Maturity
Volume Traded
Closing Price
(Trading)
Central Bank Malta
(Closing Bid Price)
Yield To Maturity
(%) *
0.10% MGS 2026 (IV) 7/20/2026 - 98.23 0.00 16.82%
0.25% MGS 2026 (III) 11/18/2026 - 98.08 98.25 4.76%
0.40% MGS 2026 (II) 10/20/2026 - 98.16 0.00 5.64%
0.40% MGS 2027 (IV) 11/19/2027 - 96.72 0.00 2.74%
0.5% MGS 2025 (II) 11/8/2025 - 98.61 0.00 4.03%
0.75% MGS 2025 (III) 7/17/2025 - 103.31 0.00 -34.32%
0.80% MGS 2027 (III) 4/29/2027 - 98.00 0.00 3.11%
0.90% MGS 2027 (V) 08/12/2027 - 97.71 0.00 2.90%
0.90% MGS 2031 (V) 07/11/2031 - 89.26 0.00 3.21%
1.0% MGS 2031 (II) 4/23/2031 - 89.96 0.00 3.25%
1.00% MGS 2035 (II) 8/23/2035 - 78.47 81.00 3.79%
1.20% MGS 2037 (I) 5/13/2037 - 78.01 0.00 3.66%
1.40% MGS 2046 (I) 8/20/2046 - 59.38 0.00 4.48%
1.5% MGS 2027 (I) 6/15/2027 - 99.07 98.95 2.44%
1.50% MGS 2045 (I) 10/22/2045 - 62.72 0.00 4.37%
1.60% MGS 2032 (III) 05/03/2032 - 89.80 0.00 3.53%
1.70% MGS 2028 (IV) 08/04/2028 200,000 97.45 97.44 2.93%
1.80% MGS 2051 (I) 8/28/2051 - 58.57 61.00 4.59%
1.85% MGS 2029 (III) 5/30/2029 - 96.40 0.00 3.13%
2.00% MGS 2051 (II) 07/10/2051 - 62.54 0.00 4.51%
2.1% MGS 2039 (I) 8/24/2039 - 80.27 0.00 4.04%
2.10% MGS 2032 (IV) 4/15/2032 - 94.56 0.00 3.13%
2.2% MGS 2035 (I) 11/24/2035 - 86.29 0.00 3.95%
2.3% MGS 2029 (II) 7/24/2029 118,900 97.77 0.00 3.05%
2.4% MGS 2041 (I) 7/25/2041 - 80.00 80.10 4.20%
2.40% MGS 2052 (I) 8/13/2052 - 75.22 0.00 3.92%
2.5% MGS 2036 (I) 11/17/2036 5,000 87.60 0.00 3.96%
2.55% MGS 2030 (V) 02/06/2030 - 100.00 99.50 2.55%
2.55% MGS 2030 (V) A 02/06/2030 - 99.19 0.00 2.77%
2.55% MGS 2030 (V) r 02/06/2030 - 100.00 0.00 2.55%
2.60% MGS 2028 (V) 5/22/2028 - 99.41 99.71 2.91%
2.60% MGS 2047 (I) 9/27/2047 - 89.60 0.00 3.28%
2.80% MGS 2030 (III) 2/27/2030 - 98.88 0.00 3.12%
2.9% MGS 2032 (VI) 10/24/2032 - 96.59 97.00 3.50%
3% MGS 2040 (I) 06/11/2040 - 88.25 0.00 4.11%
3.00% MGS 2030 (IV) 11/05/2030 - 100.00 100.00 3.00%
3.15% MGS 2027 (VII) 5/20/2027 - 100.68 100.75 2.41%
3.25% MGS 2034 (IV) 09/05/2034 - 96.00 96.20 3.82%
3.35% MGS 2029 (V) 11/27/2029 - 100.73 100.81 3.13%
3.4% MGS 2027 (VI) 9/24/2027 - 101.03 0.00 2.58%
3.40% MGS 2035 (IV) 7/16/2035 - 100.00 97.00 3.40%
3.40% MGS 2035 (IV) A 7/16/2035 - 98.24 0.00 3.62%
3.40% MGS 2035 (IV) FI A 7/16/2035 - 98.18 0.00 3.63%
3.40% MGS 2035 (IV) r 7/16/2035 - 100.00 0.00 3.40%
3.40% MGS 2042 (I) 8/26/2042 - 91.00 65.00 4.17%
3.50% MGS 2028 (VI) 07/07/2028 5,000 101.00 0.00 3.00%
3.50% MGS 2034 (III) 7/31/2034 20,000 98.41 97.10 3.73%
3.50% MGS 2035 (III) 12/18/2035 22,200 96.71 0.00 3.92%
3.50% MGS 2035 (III) A 12/18/2035 - 100.34 0.00 3.46%
3.50% MGS 2035 (III) r 12/18/2035 281,900 101.40 101.40 3.34%
3.55% MGS 2026 (V) 07/08/2026 - 100.10 0.00 2.17%
3.7% MGS 2030 (II) 11/25/2030 - 106.09 0.00 2.25%
3.75% MGS 2033 (III) 8/17/2033 - 104.75 98.00 3.01%
3.80% MGS 2036 (III) A 04/08/2036 - 99.38 0.00 3.88%
3.80% MGS 2036 (III) r 04/08/2036 - 102.00 98.00 3.56%
3.80% MGS 2040 (II) 10/16/2040 - 96.46 95.71 4.13%
3.80% MGS 2040 (II) A 10/16/2040 - 99.65 0.00 3.83%
3.80% MGS 2040 (II) FI A 10/16/2040 - 100.10 0.00 3.79%
3.80% MGS 2040 (II) FI r 10/16/2040 - 98.00 0.00 3.98%
3.80% MGS 2040 (II) r 10/16/2040 3,000 100.00 99.74 3.80%
3.85% MGS 2026 (VI) 08/05/2026 - 101.19 0.00 -3.88%
3.95% MGS 2028 (VII) 08/08/2028 - 104.12 0.00 1.99%
4% MGS 2032 (VII) 3/30/2032 105,000 103.09 0.00 3.41%
4.00% MGS 2033 (IV) 12/05/2033 - 103.12 101.00 3.52%
4.00% MGS 2038 (I) 8/25/2038 4,000 100.05 100.00 3.99%
4.00% MGS 2043 (I) 11/26/2043 15,000 99.75 99.75 4.02%
4.1% MGS 2034 (I) 10/18/2034 - 102.35 0.00 3.77%
4.10% MGS 2041 (II) 11/28/2041 - 100.98 99.90 4.01%
4.10% MGS 2041 (II) A 11/28/2041 - 100.00 99.66 4.10%
4.10% MGS 2041 (II) r 11/28/2041 - 100.00 99.66 4.10%
4.3% MGS 2033 (I) 08/01/2033 - 104.68 0.00 3.55%
4.30% MGS 2038 (II) 11/15/2038 - 102.05 0.00 4.09%
4.45% MGS 2032 (II) 09/03/2032 - 105.37 0.00 3.48%
4.5% MGS 2028 (II) 10/25/2028 - 103.57 0.00 2.93%
4.65% MGS 2032 (I) 7/22/2032 - 106.47 0.00 3.47%
4.8% MGS 2028 (I) 09/11/2028 - 103.94 0.00 2.97%
5.1% MGS 2029 (I) 10/01/2029 - 106.22 0.00 3.10%
5.2% MGS 2031 (I) 9/16/2031 - 109.00 0.00 3.32%
5.25% MGS 2030 (I) 6/23/2030 - 107.72 0.00 3.19%
7% MGS 2025 (I) 12/31/2025 - 149.70 0.00 -57.15%
7% MGS 2026 (I) 12/31/2026 - 155.80 0.00 -61.47%
7% MGS 2032 (V) 12/31/2032 - 100.00 0.00 7.00%
7% MGS 2034 (II) 12/31/2034 - 100.00 100.00 7.00%
7% MGS 2036 (II) 12/31/2036 - 100.00 0.00 7.00%

* Where more than one maturity date exists, YTM is calculated on earliest maturity date.

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