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» Exchange Rates
  Rate
 
 USD
 GBP
 EUR
 JPY100
 SGD
 HKD100
 AUD
31/10/2011
3.0735
4.9084
4.3075
3.8814
2.4584
39.5702
3.2365
28/10/2011
3.0735
4.9425
4.3547
4.0502
2.4674
39.5585
3.2823

» Market Information
 ·  Indicative YTM
- Private Debt Securities
- Government Securities
 · Outstanding Securities
 · Securities Turnover
 · Islamic Interbank Rate
 ·  Rate of Return
- Commercial Banks
- Investment Banks
 ·  Mudharabah Interbank Investment
- Overnight Mudharabah
- Volume (1-Week)
- Volume (1-Month)
- Volume (3-Month)
 · Monthly Volume Mudharabah

» Related Links
 · Bank Negara Malaysia (central Bank of Malaysia)
 · Islamic Financial Services Board (IFSB)
 · Islamic International Financial Market (IIFM)
 · Islamic Development Bank (IDB)
 · Islamic Banking and Finance Institute of Malaysia (IBFIM)
 · Institute of Islamic Understanding Malaysia (IKIM)

Financial Instruments > Indicative YTM > Private Debt Securities

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PDS Indicative YTM as at 14/06/2022
SELECTED PAPERS YEAR 35710
KHAZANAH BOND 3.8724.2834.5174.665
CAGAMAS SECURITIES (OLD) 4.0284.4124.6554.790
CAGAMAS SECURITIES (NEW) 4.0234.4024.6454.780

RATING (YEAR) 3571015
AAA 4.1304.4094.7034.8595.191
AA1/AA+ 4.2424.5224.8325.0205.373
AA2/AA 4.3574.6464.9575.1645.568
AA3/AA- 4.5504.8665.1935.3965.784
A1/A+ 4.8905.2015.5275.6936.129
A2/A 5.2845.6585.9846.2316.784
A3/A- 5.7296.1046.5046.8017.684
BBB 6.3336.7527.5508.0838.776
BB&BELOW 7.5138.4439.19810.02910.880
NOTES :
Rates given are the average rates contributed by the designated Financial Institutions. This data
is merely for information and BNM shall not be liable for the accuracy of such data.

OLD-refers to Cagamas securities issued before 4 September 2004 with stock prefix "C".
NEW-refers to Cagamas securities issued after 4 September 2004 with stock prefix "P", "D" or "F".
 

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