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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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Key information about Malaysia Short Term Government Bond Yield
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Malaysia Government Securities Yield: 20 Years data was reported at 4.762 % pa in Nov 2018. This records a decrease from the previous number of 4.805 % pa for Oct 2018. Malaysia Government Securities Yield: 20 Years data is updated monthly, averaging 4.754 % pa from Jan 1996 (Median) to Nov 2018, with 275 observations. The data reached an all-time high of 8.200 % pa in Jul 1998 and a record low of 3.608 % pa in Jan 2009. Malaysia Government Securities Yield: 20 Years data remains active status in CEIC and is reported by Bank Negara Malaysia. The data is categorized under Global Database’s Malaysia – Table MY.M008: Government Securities: Indicative Yield.
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Historical dataset of the Malaysia 10-Year Government Bond Yield, covering values from 2001-10-01 to 2025-11-21, with the latest releases and long-term trends. Available for free download in CSV format.
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Key information about Malaysia Long Term Interest Rate
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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.
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Malaysia Discount Rate: Treasury Bills: 6 Months data was reported at 3.262 % pa in Oct 2018. This records an increase from the previous number of 2.950 % pa for Nov 2017. Malaysia Discount Rate: Treasury Bills: 6 Months data is updated monthly, averaging 3.513 % pa from Jan 1981 (Median) to Oct 2018, with 415 observations. The data reached an all-time high of 9.665 % pa in Jun 1998 and a record low of 1.744 % pa in May 2005. Malaysia Discount Rate: Treasury Bills: 6 Months data remains active status in CEIC and is reported by Bank Negara Malaysia. The data is categorized under Global Database’s Malaysia – Table MY.M002: Discount Rates.
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Debt Securities: Foreign Holding: Malaysian Government Securities data was reported at 147,619.624 MYR mn in Nov 2018. This records a decrease from the previous number of 152,985.829 MYR mn for Oct 2018. Debt Securities: Foreign Holding: Malaysian Government Securities data is updated monthly, averaging 102,533.969 MYR mn from Jan 2005 (Median) to Nov 2018, with 167 observations. The data reached an all-time high of 186,940.207 MYR mn in Aug 2016 and a record low of 7,862.400 MYR mn in Jan 2006. Debt Securities: Foreign Holding: Malaysian Government Securities data remains active status in CEIC and is reported by Bank Negara Malaysia. The data is categorized under Global Database’s Malaysia – Table MY.Z017: Debt Securities: Foreign Holding.
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Malaysia Government Securities Yield: 2 Years data was reported at 3.552 % pa in Nov 2018. This records an increase from the previous number of 3.534 % pa for Oct 2018. Malaysia Government Securities Yield: 2 Years data is updated monthly, averaging 3.367 % pa from Feb 1992 (Median) to Nov 2018, with 322 observations. The data reached an all-time high of 9.460 % pa in Jun 1998 and a record low of 2.315 % pa in Feb 2009. Malaysia Government Securities Yield: 2 Years data remains active status in CEIC and is reported by Bank Negara Malaysia. The data is categorized under Global Database’s Malaysia – Table MY.M008: Government Securities: Indicative Yield.
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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
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TwitterIn 2022, the domestic debt of the Malaysian government in the form of government securities amounted to around ****** billion Malaysian ringgit. The least amount of domestic debt were held in government housing sukuk.
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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).
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Graph and download economic data for Amount Outstanding of Total Debt Securities in General Government Sector, All Maturities, Residence of Issuer in Malaysia (TDSAMRIAOGGMY) from Q1 2005 to Q4 2022 about Malaysia, maturity, sector, debt, residents, securities, and government.
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Graph and download economic data for Amount Outstanding of Domestic Debt Securities for General Government Issuers, All Maturities, Residence of Issuer in Malaysia (DSAMRIAOGGMY) from Q1 2005 to Q4 2022 about Malaysia, maturity, debt, domestic, residents, securities, and government.
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Graph and download economic data for Exchange Rate Adjusted Changes of Domestic Debt Securities for General Government Issuers, All Maturities, Residence of Issuer in Malaysia (DSAMRIAOGGERMY) from Q2 2005 to Q4 2022 about Malaysia, adjusted, maturity, debt, domestic, residents, exchange rate, securities, government, and rate.
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Graph and download economic data for Amount Outstanding of International Debt Securities for Issuers in General Government Sector, All Maturities, Nationality of Issuer in Malaysia (DISCONTINUED) (IDSGGGAMNIAOMY) from Q3 1993 to Q2 2015 about Malaysia, maturity, sector, debt, securities, and government.
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Graph and download economic data for Net Issues of International Debt Securities for Issuers in General Government Sector, All Maturities, Nationality of Issuer in Malaysia (DISCONTINUED) (IDSGGGAMNINIMY) from Q3 1993 to Q2 2015 about Malaysia, issues, maturity, sector, debt, Net, securities, and government.
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Malaysia Government Securities Yield: 3 Years data was reported at 3.700 % pa in Nov 2018. This records an increase from the previous number of 3.662 % pa for Oct 2018. Malaysia Government Securities Yield: 3 Years data is updated monthly, averaging 3.502 % pa from Feb 1992 (Median) to Nov 2018, with 322 observations. The data reached an all-time high of 8.990 % pa in Jul 1998 and a record low of 2.520 % pa in Feb 2009. Malaysia Government Securities Yield: 3 Years data remains active status in CEIC and is reported by Bank Negara Malaysia. The data is categorized under Global Database’s Malaysia – Table MY.M008: Government Securities: Indicative Yield.
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TwitterIn 2024, the ratio of national debt to gross domestic product (GDP) of Malaysia stood at 70.08 percent. Between 1990 and 2024, the figure dropped by 4.05 percentage points, though the decline followed an uneven course rather than a steady trajectory. From 2024 to 2030, the ratio will rise by 0.64 percentage points, showing an overall upward trend with periodic ups and downs.The general government gross debt consists of all liabilities that require payment or payments of interest and/or principal by the debtor to the creditor at a date or dates in the future. Here it is depicted in relation to the country's GDP, which refers to the total value of goods and services produced during a year.
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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.
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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.