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 ABOUT MCB | ECONOMY & FINANCE
 
 
TREASURY BILLS


Friday, 30 July 2010
[ SECONDARY MARKET YIELDS - Friday, 30 July 2010 ]
 
WE SELL AT
WE BUY AT
BAND
DAYS AT MATURITY
YIELD (%)
YIELD (%)

1

0 to 30 days

0.00 

0.00

2

31 to 60 days

0.00 

0.00

3

61 to 90 days

0.00 

0.00

4

91 to 135 days

3.40 

3.70

5

136 to 180 days

3.70 

4.00

6

181 to 240 days

3.80 

4.10

7

241 to 300 days

3.90 

4.20

8

301 to 364 days

4.10 

4.40



Important note about this yield sheet:
The yields provided by this table are intended only as a guide. The yields are subject to change at the Bank's discretion. Whilst every effort is made to ensure the information is accurate, you should confirm yields with the Bank prior to making any decisions.





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