Malaysia 10 Years Bond - Historical Data

GOVERNMENT BOND • HISTORICAL DATA
MALAYSIA 10 Years
3.907%
9.2 bp
1 month
Last Update: 22 May 2024, 2:15 GMT+0

The Malaysia 10 Years Government Bond has a 3.907% yield (last update 22 May 2024 2:15 GMT+0).

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Malaysia 10 Years Bond - Yield Range

Yield changed -1.0 bp during last week, -9.2 bp during last month, +3.8 bp during last year.

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Period Change Min Range Max
1 Week -1.0 bp
3.896 %
May 17, 2024
3.917 %
May 15, 2024
1 Month -9.2 bp
3.896 %
May 17, 2024
4.041 %
Apr 28, 2024
6 Months -6.8 bp
3.754 %
Dec 14, 2023
4.041 %
Apr 28, 2024
1 Year +3.8 bp
3.754 %
Dec 14, 2023
4.234 %
Oct 26, 2023
Current Yield: 3.907%
Last update 22 May 2024 2:15 GMT+0

Bond Chart - Historical Data

Data Source: from 11 Sep 2016 to 22 May 2024
The Malaysia 10 Years Government Bond reached a maximum yield of 4.58% (24 October 2022) and a minimum yield of 2.5% (6 August 2020).

Bond Yearly Range

Data Source: from 11 Sep 2016 to 22 May 2024

Malaysia 10 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 Range Max
2024
May 22
3.907 % +14.2 bp
3.765 %
Jan 1, 2024
4.041 %
Apr 28, 2024
2023
Dec 31
3.765 % -28.5 bp
3.754 %
Dec 14, 2023
4.234 %
Oct 26, 2023
2022
Dec 31
4.050 % +43.9 bp
3.611 %
Jan 1, 2022
4.580 %
Oct 24, 2022
2021
Dec 31
3.611 % +92.6 bp
2.595 %
Jan 5, 2021
3.704 %
Oct 11, 2021
2020
Dec 31
2.685 % -64.9 bp
2.500 %
Aug 6, 2020
3.597 %
Mar 24, 2020
2019
Dec 31
3.336 % -75.9 bp
3.202 %
Aug 16, 2019
4.095 %
Jan 1, 2019
2018
Dec 31
4.095 % +16.4 bp
3.849 %
Jan 15, 2018
4.265 %
May 30, 2018
2017
Dec 31
3.931 % -30.4 bp
3.840 %
Sep 11, 2017
4.270 %
Jan 19, 2017
2016
Dec 31
4.235 % +69.4 bp
3.541 %
Sep 11, 2016
4.448 %
Nov 29, 2016
Current Yield: 3.907%.
Last update: 22 May 2024 2:15 GMT+0

Bond Spread

The Malaysia 10 Years Government Bond has a 3.907% yield. Click on Spread value for the historical serie.

A positive spread, marked by , means that the 10 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 10 Years vs Current Spread Compare
Countries
vs Japan 10 Years 290.9 bp
vs China 10 Years 158.4 bp
vs Germany 10 Years 136.9 bp
vs France 10 Years 87.6 bp
vs Spain 10 Years 60.8 bp
vs Canada 10 Years 28.5 bp
vs Italy 10 Years 7.7 bp
vs United Kingdom 10 Years -32.0 bp
vs Australia 10 Years -43.3 bp
vs United States 10 Years -52.4 bp
vs India 10 Years -309.0 bp
vs Brazil 10 Years -773.0 bp
vs Russia 10 Years -1029.3 bp

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 3.907% +25 bp +50 bp +100 bp
0% 75.08 71.53 69.83 68.16 66.54 64.97 61.94
1% 83.66 79.89 78.08 76.31 74.59 72.92 69.69
3% 100.80 96.60 94.58 92.61 90.69 88.82 85.21
5% 117.94 113.31 111.08 108.91 106.78 104.71 100.72
7% 135.08 130.02 127.58 125.20 122.88 120.61 116.23
9% 152.22 146.73 144.09 141.50 138.98 136.51 131.75

Malaysia Government Bonds

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Residual Maturity Yield Forecast
3 months 3.170%
7 months 3.220%
1 year 3.260%
3 years 3.590%
5 years 3.719%
7 years 3.834%
10 years 3.907%
15 years 4.053%
20 years 4.182%
30 years 4.268%

Back to Malaysia Government Bonds - Yields Curve