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List of Government Bonds

Quotation of the new Treasury Bond maturing on 21 October 2019 commenced on 24 July 2014.

Key details are:

AGB Type         –          Exchange-traded Treasury Bond

ASX Code        –           GSBS19

Maturity Date    –          21 October 2019

Coupon Rate     –          2.75%

Exchange-traded Treasury Bonds

ASX code Coupon rate Maturity date Term sheet Prices/chart
GSBK14 6.25% 15-June-2014    
GSBS14   4.50% 21-October-2014    
GSBG15  6.25% 15-April-2015    
GSBS15  4.75% 21-October-2015    
GSBK16  4.75% 15-June-2016    
GSBC17  6.00% 15-February-2017           
GSBM17  4.25% 21-July-2017     
GSBA18  5.50% 21-January-2018    
GSBS18  3.25% 21-October-2018    
GSBE19  5.25% 15-March-2019    
GSBS19  2.75% 21-October-2019    
GSBG20  4.50% 15-April-2020    
GSBI21  5.75% 15-May-2021    
GSBM22  5.75% 15-July-2022    
GSBG23  5.50%  21-April-2023    
GSBG24  2.75% 21-April-2024    
GSBG25  3.25% 21-April-2025    
GSBG26  4.25% 21-April-2026    
GSBG27  4.75% 21-April-2027    
GSBG29  3.25% 21-April-2029    
GSBG33  4.50% 21-April-2033    

Exchange-traded Treasury Indexed Bonds

ASX code Coupon rate Maturity date Term sheet Prices/chart
GSIO15  4.00% 20-August-2015
GSIU18     1.00% 21-November-2018
GSIO20  4.00% 20-August-2020
GSIC22  1.25% 21-February-2022
GSIQ25  3.00% 20-September-2025
GSIQ30  2.50% 20-September-2030
GSIO35     2.00% 21-August-2035