Malaysia 1-year bond yield


Malaysia 1-year bond yield closed down 3.3 as of July 26, 2024 from 3.3 from the previous day, 3.3 last week and 3.3 last month.

Malaysia 1-year bond yield Analytics & Data




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Malaysia 1-year bond yield Historical Data

DateClose
2024-07-26 3.3
2024-07-24 3.3
2024-07-23 3.3
2024-07-22 3.3
2024-07-19 3.3
2024-07-18 3.3
2024-07-16 3.3
2024-07-15 3.3
2024-07-12 3.3
2024-07-11 3.3
2024-07-10 3.3
2024-07-09 3.3
2024-07-08 3.3
2024-07-05 3.3
2024-07-02 3.3
2024-07-01 3.3
2024-06-28 3.3
2024-06-27 3.3
2024-06-26 3.3
2024-06-25 3.3
2024-06-24 3.3
2024-06-21 3.3
2024-06-20 3.3
2024-06-19 3.25
2024-06-18 3.3
2024-06-14 3.3
2024-06-13 3.27
2024-06-12 3.27
2024-06-11 3.27
2024-06-10 3.3
2024-06-09 3.27
2024-06-07 3.3
2024-06-06 3.3
2024-06-05 3.3
2024-06-04 3.3
2024-05-31 3.27
2024-05-30 3.27
2024-05-29 3.27
2024-05-28 3.27
2024-05-27 3.27
2024-05-24 3.27
2024-05-23 3.27
2024-05-21 3.26
2024-05-20 3.27
2024-05-17 3.26
2024-05-16 3.27
2024-05-15 3.27
2024-05-14 3.27
2024-05-13 3.27
2024-05-10 3.27
2024-05-09 3.27
2024-05-08 3.27
2024-05-07 3.27
2024-05-06 3.27
2024-05-03 3.27
2024-05-02 3.27
2024-04-30 3.27
2024-04-29 3.27
2024-04-26 3.27
2024-04-25 3.27

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Malaysia 1-year bond yield Statistics

SecuritySymbolLastMomentumTrendOscillator1D%1W%1M%1Y%
Malaysia 1-year bond yieldMY.1Y3.27003.819

Malaysia 1-year bond yield Factors

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Malaysia 1-year bond yield Historical Data

The MacroVar database offers free access to historical data for the Malaysia 1-year bond yield, dating back to 1950. This extensive dataset is readily available through MacroVar versatile platforms, including a user-friendly web interface, a robust Python API, and convenient Excel integration. By leveraging these tools, users can efficiently retrieve and analyze decades of Malaysia 1-year bond yield data, supporting a wide range of research, financial analysis, and decision-making processes.

What is the Malaysia 1-year bond yield

The Malaysia 1-year bond yield refers to the return on investment that an investor would receive from purchasing a Malaysian government bond with a maturity of one year. This yield is influenced by various factors such as the current interest rate environment, inflation expectations, and the overall economic outlook of Malaysia. A higher bond yield typically indicates higher risk or uncertainty in the market, while a lower yield indicates lower risk. Investors may use the Malaysia 1-year bond yield as a benchmark for assessing the attractiveness of investing in Malaysian bonds compared to other investment options.