Treasury bills are wholesale fixed-term debt securities issued by the Crown to registered tender counterparties. Bills are typically issued with 3 month, 6 month and 1 year maturities. Maturities and volumes are published at 11.30am on the announcement dates per the schedule below.
Number | Maturity | Volume ($m) | Announcement | Tender | Settlement |
---|---|---|---|---|---|
1731 |
|
100 100 50 |
Number | Tender | Settlement | |
---|---|---|---|
1730 | View details | ||
1729 | View details | ||
1728 | View details | ||
1727 | View details | ||
1726 | View details | ||
1725 | View details | ||
1724 | View details | ||
1723 | View details | ||
1722 | View details | ||
1721 | View details | ||
1720 | View details | ||
1719 | View details | ||
1718 | View details | ||
1717 | View details | ||
1716 | View details |