Financial market news


Date: 23.02.2026
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According to the results of ST-Bonds additional placement held on February 23, 2026, the volume of additional placement of 7-year ST-Bonds amounted to KGS 200,0 million.  


Date: 23.02.2026
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The NBKR reports that the auctions for placement of 7 and 91-day NBKR notes will be held on February 24, 2026. 

 

Issue No. 

Volume of issue 

(thous. KGS) 

Maximum maturity (%) 

Date of issue 

Date of repayment  

BD001260304 

20 000 000,00 

NBKR policy rate as of the auction date 

25.02.2026 

04.03.2026 

BD013260527 

2 000 000,00 

Rate of «Overnight» loan as of the auction date 

25.02.2026 

27.05.2026 

 


Date: 20.02.2026
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On February 23, 2026, the National Bank of the Kyrgyz Republic will conduct an additional (non-auction) placement of 7-year ST-Bonds.  

 

Parameters of additional placement  

 

Issue No. 

GBА07330223 

Volume of issue, thous. KGS 

200 000,0 

Yield (%) 

15.25 

Price (KGS) 

65.24 

Date of issue 

23.02.2026 

Date of repayment 

23.02.2033 

 

 


Date: 20.02.2026
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According to the results of the auctions held on February 20, 2026, the yield of 3 and 7 years ST-Bond issue constituted 12.86% and 15.25%. 


Date: 19.02.2026
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The NBKR reports that the auctions for placement of 3 and 7-years ST-Bonds will be held on February 20, 2026.  

 

Issue No. 

Volume of issue 

(thous. KGS) 

Coupon  

rate 

Date of  

issue 

Date of repayment 

Date of  

coupon payments 

GBВ03290223 

3 500 000,00 

12,86% 

23.02.2026 

23.02.2029 

Twice a year on August 23 and February 23 before the maturity date 

GBA07330223 

1 350 000,00 

7,00% 

23.02.2026 

23.02.2033 

 


Date: 19.02.2026
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The NBKR reports that the Ministry of Finance of the Kyrgyz Republic announced an addition in the preliminary volumes of issue of the state treasury bonds (ST-Bonds) for February 2026  

ST-Bonds (mln KGS) 

 

Date  

of auction 

 

Date  

of issue 

Registration  

number 

Coupon rate 

Maturity period 

Volume of ST-Bonds issue 

20.02.2026 

23.02.2026 

GBB03290223 

12,86% 

3 years 

3 500,0 

20.02.2026 

23.02.2026 

GBA07330223 

7% 

7 years 

1 350,0 

Total ST-Bonds: 

4 850,0 

 


Date: 17.02.2026
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According to the results of the auction held on February 17, 2026, the weighted average yield of 7-day NBKR notes issue constituted 4.50%. 


Date: 16.02.2026
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The NBKR reports that the auction for placement of 7-day National bank notes will be held on February 17, 2026. 

Issue No. 

 

Volume of issue  

(thous. KGS) 

Maximum  

maturity (%) 

Date of  

Issue 

Date of repayment 

BD001260225 

20 000 000,00 

NBKR policy rate as of the auction date 

18.02.2026 

25.02.2026 

 


Date: 13.02.2026
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According to the results of the auction held on February 13, 2026, the yield of 3-year ST-Bonds issue constituted 12.86%. 


Date: 12.02.2026
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The NBKR reports that the auction for placement of 3 years ST-Bonds will be held on February 13, 2026 

 

Issue No.  

Volume of issue 

(thous. KGS) 

Coupon 

rate 

Date 

of issue 

Date of repayment  

Date of  

coupon payments  

GBB03290216 

1 300 000,00 

12,86% 

16.02.2026 

16.02.2029 

Twice a year on August 16 and February 16 before the maturity date 

 


Date: 12.02.2026
Permanent link

The NBKR reports that the Ministry of Finance of the Kyrgyz Republic announced an addition in the preliminary volumes of issue of the state treasury bonds (ST-Bonds) for February 2026  

ST-Bonds (mln KGS) 

 

Date  

of auction 

 

Date  

of issue 

Registration  

number 

Coupon rate 

Maturity period 

Volume of ST-Bonds issue 

13.02.2026 

16.02.2026 

GBB03290216 

12,86% 

3 years 

1 300,0 

20.02.2026 

23.02.2026 

GBA07330223 

7% 

7 years 

1 350,0 

Total ST-Bonds: 

2 650,0 

 


Date: 10.02.2026
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According to the results of the auction held on February 10, 2026, the weighted average yield of 7-day NBKR notes issue constituted 4.65%. 


Date: 09.02.2026
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The NBKR reports that the auction for placement of 7-day National bank notes will be held on February 10, 2026. 

Issue No. 

 

Volume of issue  

(thous. KGS) 

Maximum  

maturity (%) 

Date of  

Issue 

Date of repayment 

BD001260128 

20 000 000,00 

NBKR policy rate as of the auction date 

21.01.2026 

28.01.2026 

 


Date: 06.02.2026
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According to the results of the auction held on February 6, 2026, the yield of 7-year ST-Bonds issue constituted 15.25%. 


Date: 05.02.2026
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The NBKR reports that the auction for placement of 7-year ST-Bonds will be held on February 6, 2026. 

 

Issue No.  

Volume of issue  

(thous. KGS) 

Coupon  

rate 

Date  

of issue 

Date of repayment 

Date of  

coupon payments 

GBA07330209 

1 350 000,0 

7,00% 

09.02.2026 

09.02.2033 

Twice a year on August 9 and February 9 before the maturity date 

 


Date: 03.02.2026
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According to the results of the auctions held on February 3, 2026, the weighted average yield of 7 and 182-day NBKR notes issue constituted 4.79 % and 7.35 %, respectively. 


Date: 02.02.2026
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The NBKR reports that the auctions for placement of 7 and 182-day NBKR notes will be held on February 3, 2026.   

 

Issue No. 

Volume of issue 

(thous. KGS) 

Maximum maturity (%) 

Date  

of issue 

Date  

of repayment 

BD001260211 

20 000 000,00 

NBKR policy rate as of the auction date 

04.02.2026 

11.02.2026 

BD026260805 

1 000 000,00 

Rate of «Overnight» loan as of the auction date 

04.02.2026 

05.08.2026 

 


Date: 02.02.2026
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The auction for additional placement of 3-year ST-Bonds held on February 2, 2026 was declared unsuccessful due to lack of demand. 


Date: 30.01.2026
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According to the results of the auction held on January 30, 2026, the yield of 3-year ST-Bonds issue constituted 12.86%. 


Date: 30.01.2026
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On February 2, 2026, the National Bank of the Kyrgyz Republic will conduct an additional (non-auction) placement of 3-year ST-Bonds.  

 

Parameters of additional placement  

 

Issue No. 

GBА03290202 

Volume of issue, thous. KGS 

450 000.0 

Yield (%) 

12,86 

Price (KGS) 

80.93 

Date of issue 

02.02.2026 

Date of repayment 

02.02.2029 

 

 


Date: 28.01.2026
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The NBKR reports that the auction for placement of 3 years ST-Bonds will be held on January 30, 2026 

 

Issue No.  

Volume of issue 

(thous. KGS) 

Coupon 

rate 

Date 

of issue 

Date of repayment  

Date of  

coupon payments  

GBA03290202 

850 000,00 

5% 

02.02.2026 

02.02.2029 

Twice a year on August 2 and February 2 before the maturity date 

 


Date: 27.01.2026
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According to the results of the auctions held on January 27, 2026, the weighted average yield of 7 and 91 days NBKR notes issue constituted 4.91 % and 6.35 %, respectively. 


Date: 26.01.2026
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The NBKR reports that the auctions for placement of 7 and 91-day NBKR notes will be held on January 27, 2026.   

 

Issue No. 

Volume of issue 

(thous. KGS) 

Maximum maturity (%) 

Date  

of issue 

Date  

of repayment 

BD001260204 

20 000 000,00 

NBKR policy rate as of the auction date 

28.01.2026 

04.02.2026 

BD013260429 

2 000 000,00 

Rate of «Overnight» loan as of the auction date 

28.01.2026 

29.04.2026 

 


Date: 26.01.2026
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The NBKR reports that the Ministry of Finance of the Kyrgyz Republic announced preliminary volumes of issue of the state treasury bonds (ST-Bonds) for February 2026.  

 

ST-Bonds (mln. KGS) 

Date of auction 

Date of  

issue 

Registration  

number 

Coupon rate 

Maturity period 

Volume of ST-Bonds issue  

30.01.2026 

02.02.2026 

GBА03290202 

5% 

3 years 

850,0 

06.02.2026 

09.02.2026 

GBА07330209 

7% 

7 years 

1 350,00 

20.02.2026 

23.02.2026 

GBA07330223 

7% 

7 years 

1 350,0 

Total ST-Bonds: 

3 550,0 

 


Date: 23.01.2026
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According to the results of the auctions held on January 23, 2026, the yield of 5 and 10-year ST-Bond issue constituted 15.20 % and 16.00 %. 


Date: 21.01.2026
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The NBKR reports that the auctions for placement of 5 and 10-years ST-Bonds will be held on January 23, 2026.  

 

Issue No. 

Volume of issue 

(thous. KGS) 

Coupon  

rate 

Date of  

issue 

Date of repayment 

Date of  

coupon payments 

GBA05310126 

2 100 000,00 

6,00% 

26.01.2026 

26.01.2031 

Twice a year on July 26 and January 26 before the maturity date 

GBA10360126 

3 600 000,00 

8,00% 

26.01.2026 

26.01.2036 

 


Date: 21.01.2026
Permanent link

The NBKR reports that the Ministry of Finance of the Kyrgyz Republic announced an addition in the preliminary volumes of issue of the state treasury bonds (ST-Bonds) for January 2026  

ST-Bonds (mln KGS) 

 

Date  

of auction 

 

Date  

of issue 

Registration  

number 

Coupon rate 

Maturity period 

Volume of ST-Bonds issue 

23.01.2026 

26.01.2026 

GBA10360126 

8% 

10 years 

3 600,0 

23.01.2026 

26.01.2026 

GBA05310126 

6% 

5 years 

2 100,0 

Total ST-Bonds: 

5 700,0 

 


Date: 20.01.2026
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According to the results of the auction held on January 20, 2026, the weighted average yield of 7-day NBKR notes issue constituted 5.11%. 


Date: 19.01.2026
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The NBKR reports that the auction for placement of 7-day NBKR notes will be held on January 20, 2026. 

 

Issue No. 

Volume of issue  

(thous. KGS) 

Maximum maturity (%) 

Date of  

issue 

Date of repayment  

BD001260128 

20 000 000,00 

NBKR policy rate as of the auction date 

21.01.2026 

28.01.2026 

 


Date: 19.01.2026
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According to the results of ST-Bonds additional placement held on January 19, 2026, the volume of additional placement of 5-year ST-Bonds amounted to KGS 250,0 million.  


Date: 16.01.2026
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On January 19, 2026, the National Bank of the Kyrgyz Republic will conduct an additional (non-auction) placement of 5-year ST-Bonds.  

 

Parameters of additional placement  

 

Issue No. 

GBА05310119 

Volume of issue, thous. KGS 

800 000,0 

Yield (%) 

15,20 

Price (KGS) 

68,57 

Date of issue 

19.01.2026 

Date of repayment 

19.01.2031 

 

 


Date: 16.01.2026
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According to the results of the auction held on January 16, 2026, the yield of 5-year ST-Bonds issue constituted 15.20%. 


Date: 14.01.2026
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The NBKR reports that the auction for placement of 5-year ST-Bonds will be held on January 16, 2026. 

 

Issue No.  

Volume of issue  

(thous. KGS) 

Coupon  

rate 

Date  

of issue 

Date of repayment 

Date of  

coupon payments 

GBA05310119 

1 400 000,0 

6,00% 

19.01.2026 

19.01.2031 

Twice a year on July 19 and January 19 before the maturity date 

 


Date: 13.01.2026
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According to the results of the auction held on January 13, 2026, the weighted average yield of 7-day NBKR notes issue constituted 5.11%. 


Date: 12.01.2026
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The NBKR reports that the auction for placement of 7-day NBKR notes will be held on January 13, 2026. 

 

Issue No. 

Volume of issue  

(thous. KGS) 

Maximum maturity (%) 

Date of  

issue 

Date of repayment  

BD001260121 

20 000 000,00 

NBKR policy rate as of the auction date 

14.01.2026 

21.01.2026 

 


Date: 30.12.2025
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According to the results of the auctions held on December 30, 2025, the weighted average yield of 7, 91 and 182 days NBKR notes issue constituted 4.89 %, 6.40 % and 8.00 %, respectively. 


Date: 29.12.2025
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The NBKR reported that the auctions for placement of 7, 91 and 182-day NBKR notes will be held on December 30, 2025.   

 

Issue No. 

Volume of issue 

(thous. KGS) 

Maximum maturity (%) 

Date of issue 

Date of repayment  

BD001260107 

10 000 000,00 

NBKR policy rate as of the auction date 

31.12.2025 

07.01.2026 

BD013260401 

500 000,00 

Rate of «Overnight» loan as of the auction date 

31.12.2025 

01.04.2026 

BD026260701 

500 000,00 

Rate of «Overnight» loan as of the auction date 

31.12.2025 

01.07.2026 

 


Date: 29.12.2025
Permanent link

The NBKR reports that the Ministry of Finance of the Kyrgyz Republic announced preliminary volumes of issue of the state treasury bonds (ST-Bonds) for January 2026.  

 

ST-Bonds (mln. KGS) 

Date of auction 

Date of  

issue 

Registration  

number 

Coupon rate 

Maturity period 

Volume of ST-Bonds issue  

16.01.2026 

19.01.2026 

GBА05310119 

6% 

5 years 

1 400,0 

23.01.2026 

26.01.2026 

GBA10360126 

8% 

10 years 

3 600,0 

Total ST-Bonds: 

5 000,0 

 


Date: 23.12.2025
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According to the results of the auctions held on December 23, 2025, the weighted average yield of 7 and 91 days NBKR notes issue constituted 5.20 % and 6.46 %, respectively. 


Date: 22.12.2025
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The NBKR reported that the auctions for placement of 7 and 91-day NBKR notes will be held on December 23, 2025.   

 

Issue No. 

Volume of issue 

(thous. KGS) 

Maximum maturity (%) 

Date of issue 

Date of repayment  

BD001251231 

20 000 000,00 

NBKR policy rate as of the auction date 

24.12.2025 

31.12.2025 

BD013260325 

2 000 000,00 

Rate of «Overnight» loan as of the auction date 

24.12.2025 

25.03.2026 

 


Date: 19.12.2025
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According to the results of the auction held on December 19, 2025, the yield of 10-year ST-Bonds issue constituted 16.00%. 


Date: 17.12.2025
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The NBKR reports that the auction for placement of 10-year ST-Bonds will be held on December 19, 2025. 

 

Issue No.  

Volume of issue  

(thous. KGS) 

Coupon  

rate 

Date  

of issue 

Date of repayment 

Date of  

coupon payments 

GBA10351222 

550 000,0 

8,00% 

22.12.2025 

22.12.2035 

Twice a year on June 22 and December 22 before the maturity date 

 


Date: 16.12.2025
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According to the results of the auction held on December 16, 2025, the weighted average yield of 7-day NBKR notes issue constituted 5.61%. 


Date: 16.12.2025
Permanent link

The NBKR reports that the Ministry of Finance of the Kyrgyz Republic announced a change in the preliminary volumes of issue of the state treasury bonds (ST-Bonds) for December 2025  

ST-Bonds (mln. KGS) 

Date of auction 

Date of issue 

Registration number 

Coupon rate 

Maturity period 

Volume of ST-Bonds issue  

19.12.2025 

22.12.2025 

GBA10351222 

8% 

10 years 

550,0 

Total ST-Bonds: 

550,0 

 


Date: 15.12.2025
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The NBKR reports that the auction for placement of 7-day NBKR notes will be held on December 16, 2025. 

 

Issue No. 

Volume of issue  

(thous. KGS) 

Maximum maturity (%) 

Date of  

issue 

Date of repayment  

BD001251224 

20 000 000,00 

NBKR policy rate as of the auction date 

17.12.2025 

24.12.2025 

 


Date: 12.12.2025
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According to the results of the auction held on December 12, 2025, the yield of 7-year ST-Bonds issue constituted 15.25%. 


Date: 11.12.2025
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The NBKR reports that the auction for placement of 7-year ST-Bonds will be held on December 12, 2025. 

 

Issue No.  

Volume of issue  

(thous. KGS) 

Coupon  

rate 

Date  

of issue 

Date of repayment 

Date of  

coupon payments 

GBA07321215 

2 500 000,0 

7,00% 

15.12.2025 

15.12.2032 

Twice a year on July 15 and December 15 before the maturity date 

 


Date: 09.12.2025
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According to the results of the auction held on December 9, 2025, the weighted average yield of 7-day NBKR notes issue constituted 5.86%. 


Date: 08.12.2025
Permanent link

The NBKR reports that the auction for placement of 7-day NBKR notes will be held on December 9, 2025. 

 

Issue No. 

Volume of issue  

(thous. KGS) 

Maximum maturity (%) 

Date of  

issue 

Date of repayment  

BD001251217 

20 000 000,00 

NBKR policy rate as of the auction date 

10.12.2025 

17.12.2025 

 


Date: 05.12.2025
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According to the results of the auctions held on December 5, 2025, the yield of 5 and 10-year ST-Bond issue constituted 15.20 % and 16.00 %. 

 


Date: 03.12.2025
Permanent link

The NBKR reports that the auctions for placement of 5 and 10-years ST-Bonds will be held on December 5, 2025.  

 

Issue No. 

Volume of issue 

(thous. KGS) 

Coupon  

rate 

Date of  

issue 

Date of repayment 

Date of  

coupon payments 

GBA05301208 

1 400 000,00 

6,00% 

08.12.2025 

08.12.2030 

Twice a year on June 8 and December  14 before the maturity date 

GBA10351208 

3 000 000,00 

8,00% 

08.12.2025 

08.12.2035 

 


Date: 02.12.2025
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According to the results of the auctions held on December 2, 2025, the weighted average yield of 7 and 182 days NBKR notes issue constituted 6.15 % and 6.75 %, respectively. 


Date: 01.12.2025
Permanent link

2 декабря 2025 года состоятся аукционы по размещению нот Национального банка сроком обращения 7 и 182 день, сообщает Национальный банк.  

 

№ эмиссии 

Объем эмиссии (тыс. сом) 

Максимальная доходность (%) 

Дата эмиссии 

Дата погашения 

BD001251210 

20 000 000,00 

Учетная ставка Национального банка на дату проведения аукциона 

03.12.2025 

10.12.2025 

BD026260603 

1 000 000,00 

Процентная ставка по кредиту «овернайт» на дату проведения аукциона 

03.12.2025 

03.06.2026 

 

 


Date: 27.11.2025
Permanent link

The NBKR reported that the Ministry of Finance of the Kyrgyz Republic announced preliminary volumes of issue of the state treasury bonds (ST-Bonds) for December 2025.  

 

ST-Bonds (mln. KGS) 

Date of auction 

Date of  

issue 

Registration  

number 

Coupon rate 

Maturity period 

Volume of ST-Bonds issue  

05.12.2025 

08.12.2025 

GBА05301208 

6% 

5 years 

1 400,0 

05.12.2025 

08.12.2025 

GBA10351208 

8% 

10 years 

3 000,0 

12.12.2025 

15.12.2025 

GBA07321215 

7% 

7 years 

2 500,0 

19.12.2025 

22.12.2025 

GBA05301222 

6% 

5 years 

1 400,00 

19.12.2025 

22.12.2025 

GBA10351222 

8% 

10 years 

2 000,0 

Total ST-Bonds: 

10 300,0 

 


Date: 25.11.2025
Permanent link

According to the results of the auctions held on November 25, 2025, the weighted average yield of 7 and 91 days NBKR notes issue constituted 3.50 % and 4.25 %, respectively. 


Date: 24.11.2025
Permanent link

The NBKR reported that the auctions for placement of 7 and 91-day NBKR notes will be held on November 25, 2025.   

Issue No. 

Volume of issue 

(thous. KGS) 

Maximum maturity (%) 

Date of issue 

Date of repayment  

BD001251203 

20 000 000,00 

NBKR policy rate as of the auction date 

26.11.2025 

03.12.2025 

BD013260225 

2 000 000,00 

Rate of «Overnight» loan as of the auction date 

26.11.2025 

25.02.2026 

 


Date: 21.11.2025
Permanent link

According to the results of the auctions held on November 21, 2025, the yield of 3 and 5-years ST-Bond issue constituted 12.86% and 15.20%. Auction for 10-years ST-Bonds was declared void due to lack of demand. 

 


Date: 18.11.2025
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According to the results of the auction held on November 18, 2025, the weighted average yield of 7-day NBKR notes issue constituted 3.45%. 


Date: 18.11.2025
Permanent link

The NBKR reported that the auctions for placement of 3, 5 and 10-years ST-Bonds will be held on November 21, 2025.  

 

Issue No. 

Volume of issue 

(thous. KGS) 

Coupon 

rate 

Date of 

issue 

Date of repayment 

Date of 

coupon payments 

GBB03281124 

1 500 000,00 

12,86% 

24.11.2025 

24.11.2028 

Twice a year on May 24 and November 24 before the maturity date  

GBA05301124 

1 400 000,00 

6,00% 

24.11.2025 

24.11.2030 

GBA10351124 

1 200 000,00 

8,00% 

24.11.2025 

24.11.2035 

 


Date: 18.11.2025
Permanent link

The NBKR reported that the Ministry of Finance of the Kyrgyz Republic announced an addition in the preliminary volumes of issue of the state treasury bonds (ST-Bonds) for November 2025  

ST-Bonds (mln KGS) 

 

Date of auction 

 

Date of issue 

Registration  

number 

Coupon rate 

Maturity period 

Volume of ST-Bonds issue 

21.11.2025 

24.11.2025 

GBB03281124 

12,86% 

3 years 

1 500,0 

21.11.2025 

24.11.2025 

GBA05301124 

6% 

5 years 

1 400,0 

21.11.2025 

24.11.2025 

GBA10351124 

8% 

10 years 

1 200,0 

Total ST-Bonds: 

4 100,0 

 


Date: 17.11.2025
Permanent link

The NBKR reports that the auction for placement of 7-day NBKR notes will be held on November 18, 2025. 

 

Issue No. 

Volume of issue  

(thous. KGS) 

Maximum maturity (%) 

Date of  

issue 

Date of repayment  

BD001251126 

10 000 000,00 

NBKR policy rate as of the auction date 

19.11.2025 

26.11.2025 

 


Date: 14.11.2025
Permanent link

According to the results of the auctions held on November 14, 2025, the yield of 5-years ST-Bond issue constituted 15.20%. Auction for 7-years ST-Bonds was declared void due to lack of demand. 


Date: 12.11.2025
Permanent link

The NBKR reported that the auctions for placement of 5 and 7-year ST-Bonds will be held on November 14, 2025.  

 

Issue No.  

Volume of issue  

(thous. KGS) 

Coupon  

rate 

Date  

of issue 

Date of repayment 

Date of  

coupon payments 

GBA05301117 

1 400 000,00 

6% 

17.11.2025 

17.05.2030 

Twice a year on May 17 and November 17 before the maturity date 

GBA07321117 

1 600 000,00 

7% 

17.11.2025 

17.05.2032 

 


Date: 11.11.2025
Permanent link

According to the results of the auction held on November 11, 2025, the weighted average yield of 7-day NBKR notes issue constituted 3.45%. 


Date: 10.11.2025
Permanent link

The NBKR reports that the auction for placement of 7-day NBKR notes will be held on November 11, 2025. 

Issue No. 

Volume of issue  

(thous. KGS) 

Maximum maturity (%) 

Date of  

issue 

Date of repayment  

BD001251119 

10 000 000,00 

NBKR policy rate as of the auction date 

12.11.2025 

19.11.2025 

 


Date: 07.11.2025
Permanent link

According to the results of the auction held on November 7, 2025, the yield of 10-years ST-Bond issue constituted 16.00%. Auction for 3 and 7-year ST-Bonds was declared void due to lack of demand. 


Date: 05.11.2025
Permanent link

The NBKR reported that the auctions for placement of 3, 7 and 10-years ST-Bonds will be held on November 7, 2025.  

 

Issue No. 

Volume of issue 

(thous. KGS) 

Coupon 

rate 

Date of 

issue 

Date of repayment 

Date of 

coupon payments 

GBA03281110 

1 100 000,00 

5,00% 

10.11.2025 

10.11.2028 

Twice a year on May 10 and November 10 before the maturity date  

GBA07321110 

1 600 000,00 

7,00% 

10.11.2025 

10.11.2032 

GBA10351110 

800 000,00 

8,00% 

10.11.2025 

10.11.2035 

 


Date: 04.11.2025
Permanent link

According to the results of the auction held on November 4, 2025, the weighted average yield of 7-day NBKR notes issue constituted 3.45%. 


Date: 03.11.2025
Permanent link

The NBKR reports that the auction for placement of 7-day NBKR notes will be held on November 4, 2025. 

 

Issue No. 

Volume of issue  

(thous. KGS) 

Maximum maturity (%) 

Date of  

issue 

Date of repayment  

BD001251112 

10 000 000,00 

NBKR policy rate as of the auction date 

05.11.2025 

12.11.2025 

 


Date: 31.10.2025
Permanent link

According to the results of the auction held on October 31, 2025, the yield of 3 years ST-Bonds issue constituted 12.86%. 


Date: 30.10.2025
Permanent link

The NBKR reports that the auction for placement of 3 years ST-Bonds will be held on October 31, 2025 

Issue No.  

Volume of issue 

(thous. KGS) 

Coupon 

rate 

Date 

of issue 

Date of repayment  

Date of  

coupon payments  

GBВ03281103 

1 500 000,00 

12,86% 

03.11.2025 

03.11.2028 

Twice a year on May 3 and November 3 before the maturity date 

 


Date: 29.10.2025
Permanent link

The NBKR reported that the Ministry of Finance of the Kyrgyz Republic announced preliminary volumes of issue of the state treasury bonds (ST-Bonds) for November 2025.  

 

ST-Bonds (mln. KGS) 

Date of auction 

Date of  

issue 

Registration  

number 

Coupon rate 

Maturity period 

Volume of ST-Bonds issue  

31.10.2025 

03.11.2025 

GBB03281103 

12,86% 

3 years 

1 500,0 

07.11.2025 

10.11.2025 

GBA03281110 

5% 

3 years 

1 100,0 

07.11.2025 

10.11.2025 

GBA07321110 

7% 

7 years 

1 600,0 

07.11.2025 

10.11.2025 

GBA10351110 

8% 

10 years 

800,0 

14.11.2025 

17.11.2025 

GBA05301117 

6% 

5 years 

1 400,0 

14.11.2025 

17.11.2025 

GBA07321117 

7% 

7 years 

1 600,0 

21.11.2025 

24.11.2025 

GBA05301124 

6% 

5 years 

1 400,0 

21.11.2025 

24.11.2025 

GBA10351124 

8% 

10 years 

1 200,0 

Total ST-Bonds: 

10 600,0 

 


Date: 28.10.2025
Permanent link

According to the results of the auctions held on October 28, 2025, the weighted average yield of 7 and 182-day NBKR notes issue constituted 3.45% and 5.50%, respectively.

 


Date: 27.10.2025
Permanent link

The NBKR reported that the auctions for placement of 7 and 182-day NBKR notes will be held on October 28, 2025.   

 

Issue No. 

Volume of issue 

(thous. KGS) 

Maximum maturity (%) 

Date of issue 

Date of repayment  

BD001251105 

10 000 000,00 

NBKR policy rate as of the auction date 

29.10.2025 

05.11.2025 

BD026260429 

500 000,00 

Rate of «Overnight» loan as of the auction date 

29.10.2025 

29.04.2026 

 


Date: 24.10.2025
Permanent link

According to the results of the auction held on October 24, 2025, the yield of 5 years ST-Bonds issue constituted 15.20%. 


Date: 22.10.2025
Permanent link

The NBKR reports that the auction for placement of 5 years ST-Bonds will be held on October 24, 2025 

 

Issue No.  

Volume of issue 

(thous. KGS) 

Coupon 

rate 

Date 

of issue 

Date of repayment  

Date of  

coupon payments  

GBA05301027 

1 000 000,00 

6% 

27.10.2025 

27.10.2030 

Twice a year on April 27 and October 27 before the maturity date 

 


Date: 21.10.2025
Permanent link

According to the results of the auctions held on October 21, 2025, the weighted average yield of 7 and 91-day NBKR notes issue constituted 3.45% and 4.25%, respectively. 

 


Date: 20.10.2025
Permanent link

The NBKR reported that the auctions for placement of 7 and 91-day NBKR notes will be held on October 21, 2025.   

 

Issue No. 

Volume of issue 

(thous. KGS) 

Maximum maturity (%) 

Date of issue 

Date of repayment  

BD001251029 

10 000 000,00 

NBKR policy rate as of the auction date 

22.10.2025 

29.10.2025 

BD013260121 

1 000 000,00 

Rate of «Overnight» loan as of the auction date 

22.10.2025 

21.01.2026 

 


Date: 17.10.2025
Permanent link

According to the results of the auctions held on October 17, 2025, the yield of 3 and 7 years ST-Bond issue constituted 12.86% and 15.25%. 


Date: 15.10.2025
Permanent link

The NBKR reported that the auctions for placement of 3 and 7-year ST-Bonds will be held on October 17, 2025.  

 

Issue No.  

Volume of issue  

(thous. KGS) 

Coupon  

rate 

Date  

of issue 

Date of repayment 

Date of  

coupon payments 

GBA03281020 

800 000,00 

5% 

20.10.2025 

20.10.2028 

Twice a year on April 20 and October 20 before the maturity date 

GBA07321020 

1 200 000,00 

7% 

20.10.2025 

20.10.2032 

 


Date: 14.10.2025
Permanent link

According to the results of the auction held on October 14, 2025, the weighted average yield of 7-day NBKR notes issue constituted 3.45%. 


Date: 13.10.2025
Permanent link

The NBKR reports that the auction for placement of 7-day NBKR notes will be held on October 14, 2025. 

 

Issue No. 

Volume of issue  

(thous. KGS) 

Maximum maturity (%) 

Date of  

issue 

Date of repayment  

BD001251022 

10 000 000,00 

NBKR policy rate as of the auction date 

15.10.2025 

22.10.2025 

 


Date: 10.10.2025
Permanent link

According to the results of the auction held on October 10, 2025, the yield of 5 years ST-Bonds issue constituted 15.20%. 


Date: 08.10.2025
Permanent link

The NBKR reports that the auction for placement of 5 years ST-Bonds will be held on October 10, 2025 

 

Issue No.  

Volume of issue 

(thous. KGS) 

Coupon 

rate 

Date 

of issue 

Date of repayment  

Date of  

coupon payments  

GBA05301013 

900 000,00 

6% 

13.10.2025 

13.10.2030 

Twice a year on April 13 and October 13 before the maturity date 

 


Date: 07.10.2025
Permanent link

According to the results of the auction held on October 7, 2025, the weighted average yield of 7-day NBKR notes issue constituted 3.45%. 


Date: 06.10.2025
Permanent link

The NBKR reports that the auction for placement of 7-day NBKR notes will be held on October 7, 2025. 

 

Issue No. 

Volume of issue  

(thous. KGS) 

Maximum maturity (%) 

Date of  

issue 

Date of repayment  

BD001251015 

10 000 000,00 

NBKR policy rate as of the auction date 

08.10.2025 

15.10.2025 

 


Date: 03.10.2025
Permanent link

According to the results of the auction held on October 3, 2025, the yield of 3 years ST-Bonds issue constituted 12.86%. 


Date: 01.10.2025
Permanent link

The NBKR reports that the auction for placement of 3 years ST-Bonds will be held on October 3, 2025 

 

Issue No.  

Volume of issue 

(thous. KGS) 

Coupon 

rate 

Date 

of issue 

Date of repayment  

Date of  

coupon payments  

GBA03281006 

800 000,00 

5% 

06.10.2025 

06.10.2028 

Twice a year on April 6 and October 29 before the maturity date 

 


Date: 01.10.2025
Permanent link

The NBKR reported that the Ministry of Finance of the Kyrgyz Republic announced preliminary volumes of issue of the state treasury bonds (ST-Bonds) for October 2025.  

 

ST-Bonds (mln. KGS) 

Date of auction 

Date of  

issue 

Registration  

number 

Coupon rate 

Maturity period 

Volume of ST-Bonds issue  

03.10.2025 

06.10.2025 

GBA03281006 

5% 

3 years 

800,0 

10.10.2025 

13.10.2025 

GBA05301013 

6% 

5 years 

900,0 

17.10.2025 

20.10.2025 

GBA03281020 

5% 

3 years 

800,0 

17.10.2025 

20.10.2025 

GBA07321020 

7% 

7 years 

1 200,0 

24.10.2025 

27.10.2025 

GBA05301027 

6% 

5 years 

1 000,0 

Total ST-Bonds: 

4 700,0 

 


Date: 30.09.2025
Permanent link

According to the results of the auctions held on September 30, 2025, the weighted average yield of 7 and 182-day NBKR notes issue constituted 3.45% and 5.50%, respectively. 

 


Date: 29.09.2025
Permanent link

The NBKR reported that the auctions for placement of 7 and 182-day NBKR notes will be held on September 30, 2025.   

 

Issue No. 

Volume of issue 

(thous. KGS) 

Maximum maturity (%) 

Date of issue 

Date of repayment  

BD001251008 

10 000 000,00 

NBKR policy rate as of the auction date 

01.10.2025 

08.10.2025 

BD026260401 

500 000,00 

Rate of «Overnight» loan as of the auction date 

01.10.2025 

01.04.2026 

 


Date: 26.09.2025
Permanent link

According to the results of the auction held on September 26, 2025, the yield of 10 years ST-Bonds issue constituted 16.0%. 


Date: 25.09.2025
Permanent link

The NBKR reports that the auction for placement of 10 years ST-Bonds will be held on September 26, 2025 

 

Issue No.  

Volume of issue 

(thous. KGS) 

Coupon 

rate 

Date 

of issue 

Date of repayment  

Date of  

coupon payments  

GBA10350929 

1 500 000,00 

8% 

29.09.2025 

29.09.2035 

Twice a year on March 29 and September 29 before the maturity date 

 


Date: 24.09.2025
Permanent link

According to the results of the auction held on September 24, 2025, the yield of 3 years ST-Bonds issue constituted 12.87%. 


Date: 23.09.2025
Permanent link

According to the results of the auctions held on September 23, 2025, the weighted average yield of 7 and 91-day NBKR notes issue constituted 3.45% and 4.30%, respectively. 

 


Date: 22.09.2025
Permanent link

The NBKR reported that the auctions for placement of 7 and 91-day NBKR notes will be held on September 23, 2025.   

 

Issue No. 

Volume of issue 

(thous. KGS) 

Maximum maturity (%) 

Date of issue 

Date of repayment  

BD001251001 

10 000 000,00 

NBKR policy rate as of the auction date 

24.09.2025 

01.10.2025 

BD013251224 

1 000 000,00 

Rate of «Overnight» loan as of the auction date 

24.09.2025 

24.12.2025 

 


Date: 22.09.2025
Permanent link

The NBKR reports that the auction for placement of 3 years ST-Bonds will be held on September 24, 2025.  

 

Issue No.  

Volume of issue  

(thous. KGS) 

Coupon  

rate 

Date  

of issue 

Date of repayment 

Date of  

coupon payments 

GBB03280925 

3 700 000,0 

12,87% 

25.09.2025 

25.09.2028 

Twice a year on March 25 and September 25 before the maturity date 

 


Date: 22.09.2025
Permanent link

The NBKR reported that the Ministry of Finance of the Kyrgyz Republic announced an addition in the preliminary volumes of issue of the state treasury bonds (ST-Bonds) for September 2025  

ST-Bonds (mln KGS) 

 

Date of auction 

 

Date of issue 

Registration  

number 

Coupon rate 

Maturity period 

Volume of ST-Bonds issue 

24.09.2025 

25.09.2025 

GBB03280925 

12,87% 

3 years 

3 700,0 

26.09.2025 

29.09.2025 

GBA10350929 

8% 

10 years 

1 500,0 

Total ST-Bonds: 

5 200,0 

 


Date: 19.09.2025
Permanent link

According to the results of the auction held on September 19, 2025, the yield of 7 years ST-Bonds issue constituted 15.25%. 


Date: 18.09.2025
Permanent link

The NBKR reports that the auction for placement of 7 years ST-Bonds will be held on September 19, 2025.  

 

Issue No.  

Volume of issue  

(thous. KGS) 

Coupon  

rate 

Date  

of issue 

Date of repayment 

Date of  

coupon payments 

GBA07320922 

1 700 000,0 

7% 

22.09.2025 

22.09.2032 

Twice a year on March 22 and September 22 before the maturity date 

 


Date: 16.09.2025
Permanent link

According to the results of the auction held on September 16, 2025, the weighted average yield of 7-day NBKR notes issue constituted 3.45%. 


Date: 15.09.2025
Permanent link

The NBKR reported that the auction for placement of 7-day NBKR notes will be held on September 16, 2025.   

 

Issue No. 

Volume of issue  

(thous. KGS) 

Maximum maturity (%) 

Date of issue 

Date of repayment  

BD001250924 

10 000 000,00 

NBKR policy rate as of the auction date 

17.09.2025 

24.09.2025 

 

 

 

 


Date: 12.09.2025
Permanent link

On September 12, 2025, the auction for the placement of 10-year ST-Bonds did not take place due to lack of demand. 


Date: 12.09.2025
Permanent link

According to the results of the auction held on September 12, 2025, the yield of 7 years ST-Bonds issue constituted 15.25%. 


Date: 10.09.2025
Permanent link

The NBKR reported that the auctions for placement of 7 and 10-year ST-Bonds will be held on September 12, 2025.  

 

Issue No.  

Volume of issue  

(thous. KGS) 

Coupon  

rate 

Date  

of issue 

Date of repayment 

Date of  

coupon payments 

GBA07320915 

1 600 000,0 

7% 

15.09.2025 

15.09.2032 

Twice a year on March 15 and September 15 before the maturity date 

GBA10350915 

1 500 000,0 

8% 

15.09.2025 

15.09.2035 

 


Date: 10.09.2025
Permanent link

The NBKR reported that the Ministry of Finance of the Kyrgyz Republic announced an addition in the preliminary volumes of issue of the state treasury bonds (ST-Bonds) for September 2025  

ST-Bonds (mln KGS) 

 

Date of auction 

 

Date of issue 

Registration  

number 

Coupon rate 

Maturity period 

Volume of ST-Bonds issue 

12.09.2025 

15.09.2025 

GBA07320915 

7% 

7 years 

1 600,0 

12.09.2025 

15.09.2025 

GBA10350915 

8% 

10 years 

1 500,0 

19.09.2025 

22.09.2025 

GBA07320922 

7% 

7 years 

1 700,0 

26.09.2025 

29.09.2025 

GBA10350929 

8% 

10 years 

1 500,0 

Total ST-Bonds: 

6 300,0 

 


Date: 09.09.2025
Permanent link

According to the results of the auction held on September 9, 2025, the weighted average yield of 7-day NBKR notes issue constituted 3.45%. 


Date: 08.09.2025
Permanent link

The NBKR reported that the auction for placement of 7-day NBKR notes will be held on September 9, 2025.   

 

Issue No. 

Volume of issue  

(thous. KGS) 

Maximum maturity (%) 

Date of issue 

Date of repayment  

BD001250917 

10 000 000,00 

NBKR policy rate as of the auction date 

10.09.2025 

17.09.2025 

 

 

 

 


Date: 05.09.2025
Permanent link

According to the results of the auctions held on September 5, 2025, the yield of 3 and 7 years ST-Bond issue constituted 12.87% and 15.25%. 


Date: 03.09.2025
Permanent link

The NBKR reported that the auctions for placement of 3 and 7-year ST-Bonds will be held on September 5, 2025.  

 

Issue No.  

Volume of issue  

(thous. KGS) 

Coupon  

rate 

Date  

of issue 

Date of repayment 

Date of  

coupon payments 

GBA03280908 

800 000,0 

5% 

08.09.2025 

08.09.2028 

Twice a year on March 8 and September 8 before the maturity date 

GBA07320908 

1 300 000,0 

7% 

08.09.2025 

08.09.2032 

 


Date: 03.09.2025
Permanent link

The NBKR reported that the Ministry of Finance of the Kyrgyz Republic announced a change and addition in the preliminary volumes of issue of the state treasury bonds (ST-Bonds) for September 2025  

ST-Bonds (mln KGS) 

 

Date of auction 

 

Date of issue 

Registration  

number 

Maturity period 

Coupon rate 

Volume of ST-Bonds issue 

05.09.2025 

08.09.2025 

GBA03280908 

3 years 

5% 

800,0 

05.09.2025 

08.09.2025 

GBA07320908 

7 years 

7% 

1 300,0 

12.09.2025 

15.09.2025 

GBA10350915 

10 years 

8% 

1 500,0 

19.09.2025 

22.09.2025 

GBA07320922 

7 years 

7% 

1 700,0 

26.09.2025 

29.09.2025 

GBA10350929 

10 years 

8% 

1 500,0 

Total ST-Bonds: 

6 800,0 

 


Date: 02.09.2025
Permanent link

According to the results of the auctions held on September 2, 2025, the weighted average yield of 7 and 182-day NBKR notes issue constituted 3.45% and 5.50%, respectively. 


Date: 01.09.2025
Permanent link

The NBKR reported that the auctions for placement of 7 and 182-day NBKR notes will be held on September 2, 2025.   

 

Issue No. 

Volume of issue 

(thous. KGS) 

Maximum maturity (%) 

Date of issue 

Date of repayment  

BD001250910 

10 000 000,00 

NBKR policy rate as of the auction date 

03.09.2025 

10.09.2025 

BD026260304 

500 000,00 

Rate of «Overnight» loan as of the auction date 

03.09.2025 

04.03.2026 

 


Date: 29.08.2025
Permanent link

The NBKR reported that the Ministry of Finance of the Kyrgyz Republic announced preliminary volumes of issue of the state treasury bonds (ST-Bonds) for September 2025.  

 

ST-Bonds (mln. KGS) 

Date of auction 

Date of  

issue 

Registration  

number 

Coupon rate 

Maturity period 

Volume of ST-Bonds issue  

05.09.2025 

08.09.2025 

GBA03280908 

5% 

3 years 

800,0 

12.09.2025 

15.09.2025 

GBA10350915 

8% 

10 years 

1 500,0 

19.09.2025 

22.09.2025 

GBA07320922 

7% 

7 years 

3 000,0 

26.09.2025 

29.09.2025 

GBA10350929 

8% 

10 years 

1 500,0 

Total ST-Bonds: 

6 800,0 

 


Date: 26.08.2025
Permanent link

According to the results of the auctions held on August 26, 2025, the weighted average yield of 7 and 91-day NBKR notes issue constituted 3.45% and 4.39%, respectively. 

 


Date: 25.08.2025
Permanent link

The NBKR reported that the auctions for placement of 7 and 91-day NBKR notes will be held on August 26, 2025.   

 

Issue No. 

Volume of issue 

(thous. KGS) 

Maximum maturity (%) 

Date of issue 

Date of repayment  

BD001250903 

10 000 000,00 

NBKR policy rate as of the auction date 

27.08.2025 

03.09.2025 

BD013251126 

1 000 000,00 

Rate of «Overnight» loan as of the auction date 

27.08.2025 

26.11.2025