22 datasets found
  1. T

    Malaysia 10-Year Government Bond Yield Data

    • tradingeconomics.com
    • zh.tradingeconomics.com
    • +13more
    csv, excel, json, xml
    Updated Oct 20, 2025
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    TRADING ECONOMICS (2025). Malaysia 10-Year Government Bond Yield Data [Dataset]. https://tradingeconomics.com/malaysia/government-bond-yield
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    json, excel, xml, csvAvailable download formats
    Dataset updated
    Oct 20, 2025
    Dataset authored and provided by
    TRADING ECONOMICS
    License

    Attribution 4.0 (CC BY 4.0)https://creativecommons.org/licenses/by/4.0/
    License information was derived automatically

    Time period covered
    Oct 15, 2001 - Dec 1, 2025
    Area covered
    Malaysia
    Description

    The yield on Malaysia 10Y Bond Yield held steady at 3.48% on December 1, 2025. Over the past month, the yield has fallen by 0.03 points and is 0.35 points lower than a year ago, according to over-the-counter interbank yield quotes for this government bond maturity. Malaysia 10-Year Government Bond Yield - values, historical data, forecasts and news - updated on December of 2025.

  2. F

    Interest Rates: Long-Term Government Bond Yields: 10-Year: Main (Including...

    • fred.stlouisfed.org
    json
    Updated Nov 17, 2025
    + more versions
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    (2025). Interest Rates: Long-Term Government Bond Yields: 10-Year: Main (Including Benchmark) for United States [Dataset]. https://fred.stlouisfed.org/series/IRLTLT01USM156N
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    jsonAvailable download formats
    Dataset updated
    Nov 17, 2025
    License

    https://fred.stlouisfed.org/legal/#copyright-citation-requiredhttps://fred.stlouisfed.org/legal/#copyright-citation-required

    Area covered
    United States
    Description

    Graph and download economic data for Interest Rates: Long-Term Government Bond Yields: 10-Year: Main (Including Benchmark) for United States (IRLTLT01USM156N) from Apr 1953 to Oct 2025 about long-term, 10-year, bonds, yield, government, interest rate, interest, rate, and USA.

  3. M

    Malaysia Long Term Interest Rate

    • ceicdata.com
    Updated Nov 15, 2025
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    CEICdata.com (2025). Malaysia Long Term Interest Rate [Dataset]. https://www.ceicdata.com/en/indicator/malaysia/long-term-interest-rate
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    Dataset updated
    Nov 15, 2025
    Dataset provided by
    CEICdata.com
    License

    Attribution 4.0 (CC BY 4.0)https://creativecommons.org/licenses/by/4.0/
    License information was derived automatically

    Time period covered
    Dec 1, 2024 - Nov 1, 2025
    Area covered
    Malaysia
    Variables measured
    Securities Yield
    Description

    Key information about Malaysia Long Term Interest Rate

    • Malaysia Government Securities Yield: 10 Years was reported at 3.46 % pa in Nov 2025, compared with 3.50 % pa in the previous month.
    • Malaysia Long Term Interest Rate data is updated monthly, available from Feb 1992 to Nov 2025.
    • The data reached an all-time high of 8.24 % pa in Jun 1992 and a record low of 2.55 % pa in Jul 2020.
    • Long Term Interest Rate is reported by reported by Bank Negara Malaysia.

    CEIC calculates monthly Long Term Interest Rate from daily 10 year Government Securities Yield. Bank Negara Malaysia provides 10 year Treasury Bond Yield. Long Term Interest Rate prior to July 2005 is sourced directly from Bank Negara Malaysia. The data are referred to as the market indicative yield to maturity. They are only indicative due to the lack of liquidity and lack of supply of these papers covering a wide spectrum of maturity.


    Related information about Malaysia Long Term Interest Rate
    • In the latest reports, Malaysia Short Term Interest Rate: Month End: KLIBOR: 3 Months was reported at 3.26 % pa in Nov 2025.
    • The cash rate (Policy Rate: Month End: Overnight Policy Rate) was set at 2.75 % pa in Nov 2025.
    • Malaysia Exchange Rate against USD averaged 4.21 (USD/MYR) in Oct 2025.

  4. M

    Malaysia MY: Treasury Bill Rate: Government Securities

    • ceicdata.com
    Updated May 28, 2017
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    CEICdata.com (2017). Malaysia MY: Treasury Bill Rate: Government Securities [Dataset]. https://www.ceicdata.com/en/malaysia/treasury-bill-and-government-securities-rates-annual/my-treasury-bill-rate-government-securities
    Explore at:
    Dataset updated
    May 28, 2017
    Dataset provided by
    CEICdata.com
    License

    Attribution 4.0 (CC BY 4.0)https://creativecommons.org/licenses/by/4.0/
    License information was derived automatically

    Time period covered
    Dec 1, 2005 - Dec 1, 2016
    Area covered
    Malaysia
    Variables measured
    Securities Yield
    Description

    Malaysia Treasury Bill Rate: Government Securities data was reported at 2.758 % pa in 2016. This records a decrease from the previous number of 3.109 % pa for 2015. Malaysia Treasury Bill Rate: Government Securities data is updated yearly, averaging 3.485 % pa from Dec 1976 (Median) to 2016, with 41 observations. The data reached an all-time high of 7.658 % pa in 1992 and a record low of 2.053 % pa in 2009. Malaysia Treasury Bill Rate: Government Securities data remains active status in CEIC and is reported by International Monetary Fund. The data is categorized under Global Database’s Malaysia – Table MY.IMF.IFS: Treasury Bill and Government Securities Rates: Annual.

  5. M

    Malaysia Government Debt: % of GDP

    • ceicdata.com
    Updated Dec 15, 2023
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    CEICdata.com (2023). Malaysia Government Debt: % of GDP [Dataset]. https://www.ceicdata.com/en/indicator/malaysia/government-debt--of-nominal-gdp
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    Dataset updated
    Dec 15, 2023
    Dataset provided by
    CEICdata.com
    License

    Attribution 4.0 (CC BY 4.0)https://creativecommons.org/licenses/by/4.0/
    License information was derived automatically

    Time period covered
    Dec 1, 2022 - Sep 1, 2025
    Area covered
    Malaysia
    Description

    Key information about Malaysia Government Debt: % of GDP

    • Malaysia Government debt accounted for 66.1 % of the country's Nominal GDP in Sep 2025, compared with the ratio of 66.4 % in the previous quarter.
    • Malaysia government debt to GDP ratio data is updated quarterly, available from Dec 2010 to Sep 2025.
    • The data reached an all-time high of 66.4 % in Jun 2025 and a record low of 49.3 % in Sep 2011.

    CEIC calculates quarterly Government Debt as % of Nominal GDP from quarterly Government Debt and rolling sum of quarterly Nominal GDP. Bank Negara Malaysia provides Government Debt in local currency. The Department of Statistics provides Nominal GDP in local currency. Nominal GDP prior to Q4 2015 is based on SNA 2008 with benchmark year 2010.


    Related information about Malaysia Government Debt: % of GDP

    • In the latest reports, Malaysia National Government Debt reached 312.8 USD bn in Sep 2025.
    • The country's Nominal GDP reached 122.1 USD bn in Sep 2025.

  6. d

    Federal Government Domestic Debt - Dataset - MAMPU

    • archive.data.gov.my
    Updated Mar 22, 2021
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    (2021). Federal Government Domestic Debt - Dataset - MAMPU [Dataset]. https://archive.data.gov.my/data/dataset/federal-government-domestic-debt
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    Dataset updated
    Mar 22, 2021
    License

    Attribution 4.0 (CC BY 4.0)https://creativecommons.org/licenses/by/4.0/
    License information was derived automatically

    Description

    This dataset shows the Federal Government Domestic Debt, 2000 - 2021 Footnote Data for 2000-2011 Others (Treasury Bills) - Include insurance companies, Bank Kerjasama Rakyat Malaysia Bhd. and Lembaga Tabung Haji. Investment Issues - Mainly banking institutions, Islamic institutions and insurance companies. Public Sector - Includes state government, statutory bodies and public enterprises. Others (Government Securities) - Includes nominee and trustee companies, cooperative societies, foreign holders and other entities. Others Domestic Borrowings - Mainly loans to the Housing Loans Fund , market loans (market loans begin from first quater 2008), issuance of Sukuk Simpanan Rakyat in May 2009 Data for 2012-2021 Government Investment Issue - Includes statutory bodies, nominees and trustee companies and cooperatives and unclassified items. Others- Includes securities placed by instituitional investors at the Central Bank. Mainly loans to the Housing Loans Fund (Including the Sukuk Perumahan Kerajaan beginning March 2013) and market loans (beginning first quarter 2008). Source Bank Negara Malaysia

  7. T

    Malaysia Government Debt to GDP

    • tradingeconomics.com
    • ru.tradingeconomics.com
    • +13more
    csv, excel, json, xml
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    TRADING ECONOMICS, Malaysia Government Debt to GDP [Dataset]. https://tradingeconomics.com/malaysia/government-debt-to-gdp
    Explore at:
    xml, excel, csv, jsonAvailable download formats
    Dataset authored and provided by
    TRADING ECONOMICS
    License

    Attribution 4.0 (CC BY 4.0)https://creativecommons.org/licenses/by/4.0/
    License information was derived automatically

    Time period covered
    Dec 31, 1970 - Dec 31, 2024
    Area covered
    Malaysia
    Description

    Malaysia recorded a Government Debt to GDP of 70.40 percent of the country's Gross Domestic Product in 2024. This dataset provides - Malaysia Government Debt To GDP - actual values, historical data, forecast, chart, statistics, economic calendar and news.

  8. d

    Bank Negara Malaysia: Statement of Assets - Dataset - MAMPU

    • archive.data.gov.my
    Updated Oct 11, 2018
    + more versions
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    (2018). Bank Negara Malaysia: Statement of Assets - Dataset - MAMPU [Dataset]. https://archive.data.gov.my/data/dataset/bank-negara-malaysia-statement-of-assets
    Explore at:
    Dataset updated
    Oct 11, 2018
    License

    Attribution 4.0 (CC BY 4.0)https://creativecommons.org/licenses/by/4.0/
    License information was derived automatically

    Description

    Gold and Foreign Exchange refer to BNM holdings of gold, foreign securities and investments, and other foreign assets. International Monetary Fund (IMF) Reserve Tranche Position refer to Malaysia's quota in the IMF less the Fund's holdings of Malaysian currency. Holdings of Special Drawing Rights. Special Drawing Rights (SDRs) are unconditional reserves created by the IMF. They are allocated on agreed occasions to members of the IMF which are participants in the SDRs Department in accordance with an accepted formula to serve as a supplement to the international monetary reserves of the IMF. Malaysian Government Papers refer to BNM holdings of the Government debt instruments (Malaysian Government Securities, Treasury Bills and Government Investment Issues). Bills Discounted comprise loans extended under the Export Credit Refinancing (ECR) scheme. Deposits with Financial Institutions refer to BNM gross placements with the financial institutions which include money market placements, pension warrant deposits and penalty deposits on-lent (deposits initially received from banking institutions for non-compliance with BNM's guidelines on lending to priority sectors). Loans and Advances comprise mainly loans extended by BNM to the participating financial institutions under the various schemes such as New Entrepreneurs Fund, Enterprise Rehabilitation Fund, Low-Cost Housing Revolving Development Fund. Deferred Expenditure represent the net deficiency arising from foreign exchange transactions in 1993. The Government has undertaken to make good this deficiency as and when required to do so by BNM. The amount outstanding is being amortised over a period of ten years, beginning 1994. Other Assets include investment in shares acquired by BNM, under Section 30(1)(j) and Section 30(1)(00)(i) of the Central Bank of Malaysia Act 1958 (Revised-1994). No. of Views : 205

  9. M

    Malaysia MY: Budgetary Central Government: Net Acquisition of Financial...

    • ceicdata.com
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    CEICdata.com, Malaysia MY: Budgetary Central Government: Net Acquisition of Financial Assets: by Instrument: Securities Other Than Shares [Dataset]. https://www.ceicdata.com/en/malaysia/government-finance-cash-flow-statement-annual/my-budgetary-central-government-net-acquisition-of-financial-assets-by-instrument-securities-other-than-shares
    Explore at:
    Dataset provided by
    CEICdata.com
    License

    Attribution 4.0 (CC BY 4.0)https://creativecommons.org/licenses/by/4.0/
    License information was derived automatically

    Time period covered
    Dec 1, 2004 - Dec 1, 2015
    Area covered
    Malaysia
    Variables measured
    Government Budget
    Description

    Malaysia Budgetary Central Government: Net Acquisition of Financial Assets: by Instrument: Securities Other Than Shares data was reported at 0.000 MYR mn in 2015. This stayed constant from the previous number of 0.000 MYR mn for 2014. Malaysia Budgetary Central Government: Net Acquisition of Financial Assets: by Instrument: Securities Other Than Shares data is updated yearly, averaging 0.000 MYR mn from Dec 2002 to 2015, with 14 observations. Malaysia Budgetary Central Government: Net Acquisition of Financial Assets: by Instrument: Securities Other Than Shares data remains active status in CEIC and is reported by International Monetary Fund. The data is categorized under Global Database’s Malaysia – Table MY.IMF.IFS: Government Finance: Cash Flow Statement: Annual.

  10. d

    Bank Negara Malaysia: Statement of Capital and Liabilities - Dataset - MAMPU...

    • archive.data.gov.my
    Updated Oct 11, 2018
    + more versions
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    (2018). Bank Negara Malaysia: Statement of Capital and Liabilities - Dataset - MAMPU [Dataset]. https://archive.data.gov.my/data/dataset/bank-negara-malaysia-statement-of-capital-and-liabilities
    Explore at:
    Dataset updated
    Oct 11, 2018
    License

    Attribution 4.0 (CC BY 4.0)https://creativecommons.org/licenses/by/4.0/
    License information was derived automatically

    Description

    Paid-up Capital . The entire issued and paid-up capital of RM100 million is owned by the Government of Malaysia. General Reserve Fund. Section 7(3)(a) of the Central Bank of Malaysia Act 1958 (Revised-1994), stipulates that the Minister of Finance, after consultation with the Board of Directors of the Bank, determines the proportion of the net profit to be credited to the general reserve fund. Other Reserves comprise the Exchange Rate Fluctuation Reserve, the Investment Fluctuation Reserve, the Insurance Reserve and the Contingency Reserve. Currency in Circulation. BNM started issuing the Malaysian currency (the Ringgit) on 12 June 1967. The statistics reported refer to the total notes and coins issued by BNM including the amount held by banking institutions. Deposits Placed by Financial Institutions refer to statutory reserve deposits, clearing balances, money market deposits and vostro balances of banking institutions placed with BNM. Deposits Placed by the Federal Government. The bulk of the liquid funds of the Federal Government are held with BNM, which act as its banker. The main account of the Government is the general deposit account, in which the operations of the Government are reflected. Other Deposits include deposits placed by the Employees Provident Fund. Bank Negara Bills and Bonds refer to the issuance of Bank Negara Bills and Malaysia Savings Bonds by BNM. Allocation of Special Drawing Rights. IMF member countries are allocated Special Drawing Rights (SDRs) in proportion to their subscriptions to the IMF. The allocation represents a dormant liability of BNM to the IMF, against which assets are received in SDR from the IMF. Other Liabilities include deposits of non-residents and other miscellaneous liabilities. No. of Views : 174

  11. M

    Malaysia MY: Budgetary Central Government: Financial Liabilities: by...

    • ceicdata.com
    Updated Sep 15, 2025
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    CEICdata.com (2025). Malaysia MY: Budgetary Central Government: Financial Liabilities: by Instrument: Securities Other Than Shares [Dataset]. https://www.ceicdata.com/en/malaysia/government-finance-balance-sheet-quarterly/my-budgetary-central-government-financial-liabilities-by-instrument-securities-other-than-shares
    Explore at:
    Dataset updated
    Sep 15, 2025
    Dataset provided by
    CEICdata.com
    License

    Attribution 4.0 (CC BY 4.0)https://creativecommons.org/licenses/by/4.0/
    License information was derived automatically

    Time period covered
    Sep 1, 2017 - Jun 1, 2018
    Area covered
    Malaysia
    Description

    Malaysia Budgetary Central Government: Financial Liabilities: by Instrument: Securities Other Than Shares data was reported at 675,700.989 MYR mn in Jun 2018. This records an increase from the previous number of 656,200.989 MYR mn for Mar 2018. Malaysia Budgetary Central Government: Financial Liabilities: by Instrument: Securities Other Than Shares data is updated quarterly, averaging 646,686.357 MYR mn from Sep 2017 (Median) to Jun 2018, with 4 observations. The data reached an all-time high of 675,700.989 MYR mn in Jun 2018 and a record low of 636,852.726 MYR mn in Sep 2017. Malaysia Budgetary Central Government: Financial Liabilities: by Instrument: Securities Other Than Shares data remains active status in CEIC and is reported by International Monetary Fund. The data is categorized under Global Database’s Malaysia – Table MY.IMF.IFS: Government Finance: Balance Sheet: Quarterly.

  12. M

    Malaysia MY: Expenditure: Interest Payments

    • ceicdata.com
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    CEICdata.com, Malaysia MY: Expenditure: Interest Payments [Dataset]. https://www.ceicdata.com/en/malaysia/government-revenue-expenditure-and-finance/my-expenditure-interest-payments
    Explore at:
    Dataset provided by
    CEICdata.com
    License

    Attribution 4.0 (CC BY 4.0)https://creativecommons.org/licenses/by/4.0/
    License information was derived automatically

    Time period covered
    Dec 1, 2005 - Dec 1, 2016
    Area covered
    Malaysia
    Variables measured
    Operating Statement
    Description

    Malaysia Expenditure: Interest Payments data was reported at 26,479.700 MYR mn in 2016. This records an increase from the previous number of 24,283.204 MYR mn for 2015. Malaysia Expenditure: Interest Payments data is updated yearly, averaging 12,495.400 MYR mn from Dec 1996 (Median) to 2016, with 21 observations. The data reached an all-time high of 26,479.700 MYR mn in 2016 and a record low of 6,425.000 MYR mn in 1997. Malaysia Expenditure: Interest Payments data remains active status in CEIC and is reported by World Bank. The data is categorized under Global Database’s Malaysia – Table MY.World Bank.WDI: Government Revenue, Expenditure and Finance. Interest payments include interest payments on government debt--including long-term bonds, long-term loans, and other debt instruments--to domestic and foreign residents.; ; International Monetary Fund, Government Finance Statistics Yearbook and data files.; ;

  13. M

    Malaysia MY: Budgetary Central Government: Net Incurrence of Liabilities: by...

    • ceicdata.com
    Updated Jan 15, 2025
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    CEICdata.com (2025). Malaysia MY: Budgetary Central Government: Net Incurrence of Liabilities: by Instrument: Securities Other Than Shares [Dataset]. https://www.ceicdata.com/en/malaysia/government-finance-cash-flow-statement-annual/my-budgetary-central-government-net-incurrence-of-liabilities-by-instrument-securities-other-than-shares
    Explore at:
    Dataset updated
    Jan 15, 2025
    Dataset provided by
    CEICdata.com
    License

    Attribution 4.0 (CC BY 4.0)https://creativecommons.org/licenses/by/4.0/
    License information was derived automatically

    Time period covered
    Dec 1, 2004 - Dec 1, 2015
    Area covered
    Malaysia
    Variables measured
    Government Budget
    Description

    Malaysia Budgetary Central Government: Net Incurrence of Liabilities: by Instrument: Securities Other Than Shares data was reported at 38,930.560 MYR mn in 2015. This records an increase from the previous number of 37,557.320 MYR mn for 2014. Malaysia Budgetary Central Government: Net Incurrence of Liabilities: by Instrument: Securities Other Than Shares data is updated yearly, averaging 36,054.763 MYR mn from Dec 2002 (Median) to 2015, with 14 observations. The data reached an all-time high of 56,878.650 MYR mn in 2009 and a record low of 6,076.000 MYR mn in 2002. Malaysia Budgetary Central Government: Net Incurrence of Liabilities: by Instrument: Securities Other Than Shares data remains active status in CEIC and is reported by International Monetary Fund. The data is categorized under Global Database’s Malaysia – Table MY.IMF.IFS: Government Finance: Cash Flow Statement: Annual.

  14. M

    Malaysia MY: Central Government Debt: Total

    • ceicdata.com
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    CEICdata.com, Malaysia MY: Central Government Debt: Total [Dataset]. https://www.ceicdata.com/en/malaysia/government-revenue-expenditure-and-finance/my-central-government-debt-total
    Explore at:
    Dataset provided by
    CEICdata.com
    License

    Attribution 4.0 (CC BY 4.0)https://creativecommons.org/licenses/by/4.0/
    License information was derived automatically

    Time period covered
    Dec 1, 2005 - Dec 1, 2016
    Area covered
    Malaysia
    Variables measured
    Operating Statement
    Description

    Malaysia Central Government Debt: Total data was reported at 648,474.726 MYR mn in 2016. This records an increase from the previous number of 630,540.000 MYR mn for 2015. Malaysia Central Government Debt: Total data is updated yearly, averaging 242,225.054 MYR mn from Dec 1990 (Median) to 2016, with 21 observations. The data reached an all-time high of 648,474.726 MYR mn in 2016 and a record low of 91,369.000 MYR mn in 1995. Malaysia Central Government Debt: Total data remains active status in CEIC and is reported by World Bank. The data is categorized under Global Database’s Malaysia – Table MY.World Bank.WDI: Government Revenue, Expenditure and Finance. Debt is the entire stock of direct government fixed-term contractual obligations to others outstanding on a particular date. It includes domestic and foreign liabilities such as currency and money deposits, securities other than shares, and loans. It is the gross amount of government liabilities reduced by the amount of equity and financial derivatives held by the government. Because debt is a stock rather than a flow, it is measured as of a given date, usually the last day of the fiscal year.; ; International Monetary Fund, Government Finance Statistics Yearbook and data files.; ;

  15. M

    Malaysia MY: BoP: Financial Account: Portfolio Investment: Assets: Debt...

    • ceicdata.com
    Updated Oct 15, 2018
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    CEICdata.com (2018). Malaysia MY: BoP: Financial Account: Portfolio Investment: Assets: Debt Securities: General Government: Short Term [Dataset]. https://www.ceicdata.com/en/malaysia/bpm6-balance-of-payments-detailed-presentation-annual/my-bop-financial-account-portfolio-investment-assets-debt-securities-general-government-short-term
    Explore at:
    Dataset updated
    Oct 15, 2018
    Dataset provided by
    CEICdata.com
    License

    Attribution 4.0 (CC BY 4.0)https://creativecommons.org/licenses/by/4.0/
    License information was derived automatically

    Time period covered
    Dec 1, 2002 - Dec 1, 2009
    Area covered
    Malaysia
    Variables measured
    Balance of Payment
    Description

    Malaysia BoP: Financial Account: Portfolio Investment: Assets: Debt Securities: General Government: Short Term data was reported at 0.000 USD mn in 2009. This records an increase from the previous number of -0.483 USD mn for 2008. Malaysia BoP: Financial Account: Portfolio Investment: Assets: Debt Securities: General Government: Short Term data is updated yearly, averaging 0.000 USD mn from Dec 2002 (Median) to 2009, with 5 observations. The data reached an all-time high of 0.000 USD mn in 2009 and a record low of -1.490 USD mn in 2007. Malaysia BoP: Financial Account: Portfolio Investment: Assets: Debt Securities: General Government: Short Term data remains active status in CEIC and is reported by International Monetary Fund. The data is categorized under Global Database’s Malaysia – Table MY.IMF.BOP: BPM6: Balance of Payments: Detailed Presentation: Annual.

  16. M

    Malaysia MY: IIP: Assets: Portfolio Investment: Debt Securities: General...

    • ceicdata.com
    Updated Jun 30, 2018
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    CEICdata.com (2018). Malaysia MY: IIP: Assets: Portfolio Investment: Debt Securities: General Government [Dataset]. https://www.ceicdata.com/en/malaysia/bpm6-international-investment-position-annual
    Explore at:
    Dataset updated
    Jun 30, 2018
    Dataset provided by
    CEICdata.com
    License

    Attribution 4.0 (CC BY 4.0)https://creativecommons.org/licenses/by/4.0/
    License information was derived automatically

    Time period covered
    Dec 1, 2018 - Dec 1, 2021
    Area covered
    Malaysia
    Variables measured
    International Investment Position
    Description

    MY: IIP: Assets: Portfolio Investment: Debt Securities: General Government data was reported at 0.026 USD mn in 2022. This records a decrease from the previous number of 0.531 USD mn for 2021. MY: IIP: Assets: Portfolio Investment: Debt Securities: General Government data is updated yearly, averaging 5.821 USD mn from Dec 2018 (Median) to 2022, with 5 observations. The data reached an all-time high of 17.202 USD mn in 2018 and a record low of 0.026 USD mn in 2022. MY: IIP: Assets: Portfolio Investment: Debt Securities: General Government data remains active status in CEIC and is reported by International Monetary Fund. The data is categorized under Global Database’s Malaysia – Table MY.IMF.BOP: BPM6: International Investment Position: Annual.

  17. M

    Malaysia MY: BoP: Financial Account: Portfolio Investment: Liabilities: Debt...

    • ceicdata.com
    Updated Jan 15, 2025
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    CEICdata.com (2025). Malaysia MY: BoP: Financial Account: Portfolio Investment: Liabilities: Debt Securities: General Government: Long Term [Dataset]. https://www.ceicdata.com/en/malaysia/bpm6-balance-of-payments-detailed-presentation-annual/my-bop-financial-account-portfolio-investment-liabilities-debt-securities-general-government-long-term
    Explore at:
    Dataset updated
    Jan 15, 2025
    Dataset provided by
    CEICdata.com
    License

    Attribution 4.0 (CC BY 4.0)https://creativecommons.org/licenses/by/4.0/
    License information was derived automatically

    Time period covered
    Dec 1, 1995 - Dec 1, 2009
    Area covered
    Malaysia
    Variables measured
    Balance of Payment
    Description

    Malaysia BoP: Financial Account: Portfolio Investment: Liabilities: Debt Securities: General Government: Long Term data was reported at 1.382 USD bn in 2009. This records an increase from the previous number of 281.306 USD mn for 2008. Malaysia BoP: Financial Account: Portfolio Investment: Liabilities: Debt Securities: General Government: Long Term data is updated yearly, averaging 79.014 USD mn from Dec 1974 (Median) to 2009, with 33 observations. The data reached an all-time high of 3.017 USD bn in 2007 and a record low of -1.649 USD bn in 1994. Malaysia BoP: Financial Account: Portfolio Investment: Liabilities: Debt Securities: General Government: Long Term data remains active status in CEIC and is reported by International Monetary Fund. The data is categorized under Global Database’s Malaysia – Table MY.IMF.BOP: BPM6: Balance of Payments: Detailed Presentation: Annual.

  18. 马来西亚 MY:政府债券收益率:长期

    • ceicdata.com
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    CEICdata.com, 马来西亚 MY:政府债券收益率:长期 [Dataset]. https://www.ceicdata.com/zh-hans/malaysia/treasury-bill-and-government-securities-rates-annual/my-government-bond-yield-long-term
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    Dataset provided by
    CEICdata.com
    License

    Attribution 4.0 (CC BY 4.0)https://creativecommons.org/licenses/by/4.0/
    License information was derived automatically

    Time period covered
    Dec 1, 2006 - Dec 1, 2017
    Area covered
    马来西亚
    Variables measured
    Securities Yield
    Description

    MY:政府债券收益率:长期在12-01-2017达3.645年利率%,相较于12-01-2016的3.453年利率%有所增长。MY:政府债券收益率:长期数据按年更新,12-01-1992至12-01-2017期间平均值为3.682年利率%,共26份观测结果。该数据的历史最高值出现于12-01-1992,达7.805年利率%,而历史最低值则出现于12-01-2012,为3.252年利率%。CEIC提供的MY:政府债券收益率:长期数据处于定期更新的状态,数据来源于International Monetary Fund,数据归类于Global Database的马来西亚 – 表 MY.国际货币基金组织.国际金融统计:短期国库券和政府证券利率:年度。

  19. M

    Malaysia MY: Money Supply: Securities Issued by Central Government

    • ceicdata.com
    Updated Dec 15, 2022
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    CEICdata.com (2022). Malaysia MY: Money Supply: Securities Issued by Central Government [Dataset]. https://www.ceicdata.com/en/malaysia/money-supply-annual/my-money-supply-securities-issued-by-central-government
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    Dataset updated
    Dec 15, 2022
    Dataset provided by
    CEICdata.com
    License

    Attribution 4.0 (CC BY 4.0)https://creativecommons.org/licenses/by/4.0/
    License information was derived automatically

    Time period covered
    Dec 1, 2005 - Dec 1, 2016
    Area covered
    Malaysia
    Variables measured
    Monetary Aggregates/Money Supply/Money Stock
    Description

    Malaysia Money Supply: Securities Issued by Central Government data was reported at 0.000 MYR mn in 2016. This stayed constant from the previous number of 0.000 MYR mn for 2015. Malaysia Money Supply: Securities Issued by Central Government data is updated yearly, averaging 0.000 MYR mn from Dec 2001 (Median) to 2016, with 16 observations. Malaysia Money Supply: Securities Issued by Central Government data remains active status in CEIC and is reported by International Monetary Fund. The data is categorized under Global Database’s Malaysia – Table MY.IMF.IFS: Money Supply: Annual.

  20. 马来西亚 MY: Budgetary Central Government: Financial Liabilities: by Instrument:...

    • ceicdata.com
    Updated Dec 19, 2019
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    CEICdata.com (2019). 马来西亚 MY: Budgetary Central Government: Financial Liabilities: by Instrument: Securities Other Than Shares [Dataset]. https://www.ceicdata.com/zh-hans/malaysia/government-finance-balance-sheet-quarterly
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    Dataset updated
    Dec 19, 2019
    Dataset provided by
    CEICdata.com
    License

    Attribution 4.0 (CC BY 4.0)https://creativecommons.org/licenses/by/4.0/
    License information was derived automatically

    Time period covered
    Sep 1, 2017 - Jun 1, 2018
    Area covered
    马来西亚
    Description

    MY: Budgetary Central Government: Financial Liabilities: by Instrument: Securities Other Than Shares在2018-06达675,700.989 MYR mn,相较于2018-03的656,200.989 MYR mn有所增长。MY: Budgetary Central Government: Financial Liabilities: by Instrument: Securities Other Than Shares数据按季度更新,2017-09至2018-06期间平均值为646,686.357 MYR mn,共4份观测结果。该数据的历史最高值出现于2018-06,达675,700.989 MYR mn,而历史最低值则出现于2017-09,为636,852.726 MYR mn。CEIC提供的MY: Budgetary Central Government: Financial Liabilities: by Instrument: Securities Other Than Shares数据处于定期更新的状态,数据来源于International Monetary Fund,数据归类于Global Database的马来西亚 – Table MY.IMF.IFS: Government Finance: Balance Sheet: Quarterly。

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TRADING ECONOMICS (2025). Malaysia 10-Year Government Bond Yield Data [Dataset]. https://tradingeconomics.com/malaysia/government-bond-yield

Malaysia 10-Year Government Bond Yield Data

Malaysia 10-Year Government Bond Yield - Historical Dataset (2001-10-15/2025-12-01)

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3 scholarly articles cite this dataset (View in Google Scholar)
json, excel, xml, csvAvailable download formats
Dataset updated
Oct 20, 2025
Dataset authored and provided by
TRADING ECONOMICS
License

Attribution 4.0 (CC BY 4.0)https://creativecommons.org/licenses/by/4.0/
License information was derived automatically

Time period covered
Oct 15, 2001 - Dec 1, 2025
Area covered
Malaysia
Description

The yield on Malaysia 10Y Bond Yield held steady at 3.48% on December 1, 2025. Over the past month, the yield has fallen by 0.03 points and is 0.35 points lower than a year ago, according to over-the-counter interbank yield quotes for this government bond maturity. Malaysia 10-Year Government Bond Yield - values, historical data, forecasts and news - updated on December of 2025.

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