5-Year SGS Bond NX21100N (26 Jun 2026) Open

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22 Jun 2026

5-Year SGS Bond NX21100N is open for application from 22 Jun 2026. Auction will be conducted on 26 Jun 2026.

A total of $3.2B is offered for this issue, higher than that of $2.8B for the previous issue, N525100T (28 Jan 2026).

Application typically closes on 25 Jun 2026. CPF application may close a business day earlier. Closing date and time may vary from bank to bank. Please check with your bank for the exact cut-off time.

Auction Open

Announcement Date
22 Jun 2026 Notify me
Closing Date (Typical)
25 Jun 2026 Remind me
Auction Date
26 Jun 2026 Notify me
Issue Date
01 Jul 2026
Maturity Date
01 Jul 2031
Issue Code
NX21100N (Reopened)
Issue No
3
ISIN Code
SGXF76205099
Coupon Rate
1.625% p.a.
Coupon Payment Dates
01 Jul and 01 Jan
Total Amount Offered
$3,200,000,000
MAS's Intended Tender Amount
$300,000,000
Accrued Interest Payable by Investor
0 Day(s)

View Past Auctions

Upcoming Auctions

AnnouncementAuctionIssueMaturityNew/ReopenCodeISIN
22 Oct 202628 Oct 202602 Nov 202602 Nov 2031NewN526100HSGXF62237023

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Recent SGS Benchmark Yield

Date16 Jun 202617 Jun 202618 Jun 202619 Jun 202622 Jun 2026
5-Year Yield (%)1.681.681.701.721.77

Source: Daily SGS Prices (MAS)

If you wish to submit a competitive bid for this issue, you need to know what is the fair rate. The 5-Year SGS benchmark yield reflects the bid rate quoted by SGS primary dealers. It provides an indication of the current market rate.

Nonetheless, the cut-off yield will be determined through an auction (ie. depends on demand). You may take hints from the statistics below and see how the cut-off yield compared with previous day benchmark yield in past auctions.

Auction Statistics (Last 10 Auctions in The Last 4 Years)

Cut-Off Yield, Previous Day Benchmark Yield

Auction DateIssue CodeCut-Off Yield (%)Previous Day Benchmark Yield (%)Difference (%)
27 Jul 2023N523100W2.963.02-0.06
27 Feb 2024N522100N3.093.030.06
26 Mar 2024N524100X3.063.010.05
26 Jun 2024N523100W3.223.150.07
28 Aug 2024NY14100E2.562.65-0.09
26 Mar 2025N525100T2.612.63-0.02
28 May 2025N524100X2.052.07-0.02
27 Aug 2025NZ10100F1.531.54-0.01
29 Oct 2025N525100T1.541.63-0.09
28 Jan 2026N525100T1.611.71-0.10

Cut-Off Yield had been in the range of -0.10 to 0.07 of Previous Day Benchmark Yield in the auctions above.

Cut-Off Yield, Median Yield, Average Yield

Auction DateIssue CodeCut-Off Yield (%)Median Yield (%)Average Yield (%)
27 Jul 2023N523100W2.962.902.65
27 Feb 2024N522100N3.093.033.00
26 Mar 2024N524100X3.062.952.94
26 Jun 2024N523100W3.223.183.04
28 Aug 2024NY14100E2.562.542.49
26 Mar 2025N525100T2.612.562.52
28 May 2025N524100X2.051.991.97
27 Aug 2025NZ10100F1.531.481.43
29 Oct 2025N525100T1.541.501.49
28 Jan 2026N525100T1.611.561.53

Total Amount Offered, Total Amount Applied, Bid-to-Cover Ratio

Auction DateIssue CodeTotal Amount OfferedTotal Amount AppliedBid-to-Cover Ratio
27 Jul 2023N523100W$2,500,000,000$6,484,751,0002.59
27 Feb 2024N522100N$1,500,000,000$2,709,447,0001.81
26 Mar 2024N524100X$2,800,000,000$5,424,943,0001.94
26 Jun 2024N523100W$2,600,000,000$5,224,024,0002.01
28 Aug 2024NY14100E$2,800,000,000$10,877,466,0003.88
26 Mar 2025N525100T$3,000,000,000$7,205,719,0002.40
28 May 2025N524100X$2,600,000,000$5,225,361,0002.01
27 Aug 2025NZ10100F$2,500,000,000$6,657,181,0002.66
29 Oct 2025N525100T$1,400,000,000$4,200,732,0003.00
28 Jan 2026N525100T$2,800,000,000$7,361,060,0002.63

Total Amount Allotted, Amount (%) Allotted to Non-Competitive Applications

Auction DateIssue CodeTotal Amount AllottedAmount Allotted to Non-Competitive Applications% Allotted to Non-Competitive Applications% of Non-Competitive Applications Allotted
27 Jul 2023N523100W$2,500,000,000$422,517,00016.90%100.00%
27 Feb 2024N522100N$1,500,000,000$65,036,0004.34%100.00%
26 Mar 2024N524100X$2,800,000,000$402,457,00014.37%100.00%
26 Jun 2024N523100W$2,600,000,000$405,436,00015.59%100.00%
28 Aug 2024NY14100E$2,800,000,000$458,385,00016.37%100.00%
26 Mar 2025N525100T$3,000,000,000$446,884,00014.90%100.00%
28 May 2025N524100X$2,600,000,000$416,762,00016.03%100.00%
27 Aug 2025NZ10100F$2,500,000,000$466,566,00018.66%100.00%
29 Oct 2025N525100T$1,400,000,000$80,633,0005.76%100.00%
28 Jan 2026N525100T$2,800,000,000$412,964,00014.75%100.00%

Non-competitive bids will be allotted first, up to 40% of the total issuance amount. If the amount of non-competitive bids exceeds 40%, the bond will be allocated on a pro-rated basis. This means, when % Allotted to Non-Competitive Applications reaches 40%, % of Non-Competitive Applications Allotted will be less than 100%.

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