GOVERNMENT BOND • HISTORICAL DATA
Malaysia
20 Years
4.952%
4.0 bp
1 month
22 May 2022, 17:15 GMT+0
The Malaysia 20 Years Government Bond has a 4.952% yield (last update 22 May 2022 17:15 GMT+0).
Yield changed -14.0 bp during last week, -4.0 bp during last month, +71.0 bp during last year.
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Period | Change | Min | Range | Max |
---|---|---|---|---|
1 Week | -14.0 bp |
4.952 %
May 21, 2022
|
|
5.137 %
May 18, 2022
|
1 Month | -4.0 bp |
4.952 %
Apr 23, 2022
|
|
5.143 %
May 12, 2022
|
6 Months | +73.1 bp |
4.122 %
Dec 27, 2021
|
|
5.143 %
May 12, 2022
|
1 Year | +71.0 bp |
3.987 %
Sep 5, 2021
|
|
5.143 %
May 12, 2022
|
Current Yield: 4.952%
Last update 22 May 2022 17:15 GMT+0
Last update 22 May 2022 17:15 GMT+0
Historical Data
Data Source: from 11 Sep 2016 to 22 May 2022
The Malaysia 20 Years Government Bond reached a maximum yield of 5.143% (12 May 2022) and a minimum yield of 3.085% (6 August 2020).
Go to Malaysia 20 Years Bond - Forecast
Readings that may interest you
Historical Yearly Range
Data Source: from 11 Sep 2016 to 22 May 2022
Malaysia 20 Years Government Bond: historic yield range for every year.
A green candlestick means a negative yield variation in the year.
A red candlestick means a positive yield variation in the year.
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Year | Yield | Change | Min | Yield Range | Max |
---|---|---|---|---|---|
2022
May 22
|
4.952% | +82.8 bp |
4.124%
Jan 1, 2022
|
|
5.143%
May 12, 2022
|
2021
Dec 31
|
4.124% | +72.7 bp |
3.333%
Jan 4, 2021
|
|
4.390%
Mar 18, 2021
|
2020
Dec 31
|
3.397% | -40.6 bp |
3.085%
Aug 6, 2020
|
|
4.221%
Mar 24, 2020
|
2019
Dec 31
|
3.801% | -85.8 bp |
3.477%
Aug 16, 2019
|
|
4.659%
Jan 1, 2019
|
2018
Dec 31
|
4.659% | +6.9 bp |
4.552%
Mar 14, 2018
|
|
4.917%
May 30, 2018
|
2017
Dec 31
|
4.590% | -13.3 bp |
4.476%
Sep 8, 2017
|
|
4.872%
Jan 17, 2017
|
2016
Dec 31
|
4.723% | +64.1 bp |
4.082%
Sep 11, 2016
|
|
4.961%
Nov 21, 2016
|
Current Yield: 4.952%.
Last update: 22 May 2022 17:15 GMT+0
Malaysia 20 Years Bond Spread
The Malaysia 20 Years Government Bond has a 4.952% yield. Click on Spread value for the historical serie.
A positive spread, marked by
, means that the 20 Years Bond Yield is higher than the corresponding foreign bond. Instead, a negative spread is marked by a green circle.
Click on the values in "Current Spread" column, for the historical series of the spread.
Click on the "Compare" button, for a report with the full comparison between the two countries, with all the available data.
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Malaysia 20 Years vs | Current Spread | Country Full Comparison |
|
---|---|---|---|
Japan 20 Years | 421.5 bp | Compare | |
Germany 20 Years | 388.0 bp | Compare | |
France 20 Years | 310.4 bp | Compare | |
United Kingdom 20 Years | 277.5 bp | Compare | |
Spain 20 Years | 245.4 bp | Compare | |
Canada 20 Years | 200.5 bp | Compare | |
United States 20 Years | 178.0 bp | Compare | |
Italy 20 Years | 163.0 bp | Compare | |
China 20 Years | 155.2 bp | Compare | |
Australia 20 Years | 131.4 bp | Compare | |
Russia 20 Years | -511.3 bp | Compare |
Malaysia 20 Years Government Bond Prices
Price Simulation: bonds with a face value of 100, with different coupon rates.
The highlighted column contains prices at the current market yield. Other columns refers to hypothetical yields variations (100 bp = 1%).
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Coupon Rate |
Bond Price at different Yields | ||||||
---|---|---|---|---|---|---|---|
-100 bp | -50 bp | -25 bp | 4.952% | +25 bp | +50 bp | +100 bp | |
0% | 46.06 | 41.85 | 39.89 | 38.04 | 36.27 | 34.59 | 31.46 |
1% | 59.71 | 54.91 | 52.68 | 50.55 | 48.52 | 46.58 | 42.98 |
3% | 87.01 | 81.03 | 78.24 | 75.57 | 73.02 | 70.58 | 66.01 |
5% | 114.30 | 107.16 | 103.81 | 100.60 | 97.53 | 94.58 | 89.04 |
7% | 141.60 | 133.28 | 129.38 | 125.63 | 122.03 | 118.57 | 112.07 |
9% | 168.90 | 159.41 | 154.94 | 150.65 | 146.53 | 142.57 | 135.10 |
Malaysia Government Bonds
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