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Debt Securities
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Debt Securities Sales to Individuals
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Coupon Rates of Savings Bonds
Debt Securities
Introduction to Government Debt Securities
Types of Government Debt Securities
The Bank of Thailand's responsibilities concerning government debt securities
Participants in Thai government securities market
Introduction to Investment in Debt Securities
Bonds & Debt Securities Information
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Bond Weekly Movement in Primary Market
Debt Securities Outstanding Issue Redemption
Details of Individual Issue
Coupon Rates
Interest Payment and Redemption Schedule
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Debt Securities
Introduction to Government Debt Securities
Types of Government Debt Securities
The Bank of Thailand's responsibilities concerning government debt securities
Participants in Thai government securities market
Introduction to Investment in Debt Securities
ฺBonds & Debt Securities Information
Debt Securities Information
Bond Weekly Movement in Primary Market
Debt Securities Outstanding Issue Redemption
Details of Individual Issue
Coupon Rates
Interest Payment and Redemption Schedule
Sample Pictures
Related Debt Securities Websites
Debt Securities Auction
Auction Schedule
Auction Result
List of MOF Outright PD
Auction Yields Classified by Tenors
Bond Switching
Debt Securities Sales to Individuals
Coupon Rates of Savings Bonds
Bond & Debt Securities Services
Debt Securities Services
Registration and Records
Application Handling
Change of Ownership
Debt Securities Deposit with TSD
Interest Payment and Redemption
Fees
Online Debt Securities Information Service
Citizen Guide
Contact Us
Coupon Rates of Savings Bonds
Coupon Rates of Savings Bonds
Last Updated 27 January 2021
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ThaiBMA Symbol
ISIN Code
Coupon Rate p.a. (%)
Issue Date
Maturity Date
Issue Amt. (Mil.Baht)
Term (Years)
SBST262A
TH0623036207
Year 1-2 = 1.5
Year 3-4 = 2.0
Year 5 = 3.0
01 Feb 2021
01 Feb 2026
5,000.000
5
SBST262B
TH0623A36203
Year 1-2 = 1.5
Year 3-4 = 2.0
Year 5 = 3.0
05 Feb 2021
05 Feb 2026
25,000.000
5
SBST312A
TH062303B201
Year 1 = 1.5
Year 2-3 = 2.0
Year 4-6 = 2.5
Year 7-10 = 3.0
05 Feb 2021
05 Feb 2031
25,000.000
10
SB362A
TH062303G200
1.80
16 Feb 2021
16 Feb 2036
5,000.000
15
SB278A
TH0623037809
2.22
26 Aug 2020
26 Aug 2027
45,000.000
7
SB248A
TH0623034806
1.70
25 Aug 2020
25 Aug 2024
5,000.000
4
SB236A
TH0623A33606
1.70
24 June 2020
24 June 2023
200.000
3
SBST305A
TH062303A500
Year 1-3 = 2.5
Year 4-8 = 3.0
Year 9 = 3.5
Year 10 = 4.0
14 May 2020
14 May 2030
19,888.573
10
SBST255A
TH0623035506
Year 1 = 2.0
Year 2-3 = 2.25
Year 4 = 2.5
Year 5 = 3.0
14 May 2020
14 May 2025
30,111.427
5
SBA24DA
TH0623B34C08
2.00
23 Dec 2019
23 Dec 2024
5,000.000
5
1 - 10
For further inquiries
Bond Management Team
Tel. 0-2283-6345
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