Now you can open your CDS account and bid digitally through NMB GOVERNMENT SECURITIES PORTAL
Primary Market
Being a licensed Central Depository Participant (CDP) by the Bank of Tanzania, NMB caters to our customers’ investment needs by assisting them to bid in Treasury bills’ and bonds’ primary auctions.
What you need to participate in primary auctions
- NMB account (please visit any of our branches for details)
- CDS Account opened at NMB
- Duly filled bidding form
What you need to open a CDS account
- 1 duly filled CDS account opening forms
- A certified copy of your TIN certificate
- A certified copy of your ID
- 1 passport size pictures with a blue background
2022/2023 Government Securities Auctions Calendar
Month |
Auction Date |
Instrument |
July |
6-Jul-22 |
12.56%, 25-Year Treasury bond |
13-Jul-22 |
Treasury bills (35,91,182,364 Days Maturity) |
|
20-Jul-22 |
9.48%, 7-Year Treasury bond |
|
27-Jul-22 |
12.10%, 20-Year Treasury bond |
|
August |
3-Aug-22 |
Treasury bills (35,91,182,364 Days Maturity) |
10-Aug-22 |
8.60%, 5-Year Treasury bond |
|
17-Aug-22 |
7.60%, 2-Year Treasury bond |
|
24-Aug-22 |
Treasury bills (35,91,182,364 Days Maturity) |
|
31-Aug-22 |
11.15%, 15-Year Treasury bond |
|
September |
7-Sep-22 |
Treasury bills (35,91,182,364 Days Maturity) |
14-Sep-22 |
10.25%, 10-Year Treasury bond |
|
21-Sep-22 |
Treasury bills (35,91,182,364 Days Maturity) |
|
28-Sep-22 |
12.10%, 20-Year Treasury bond |
|
October |
5-Oct-22 |
Treasury bills (35,91,182,364 Days Maturity) |
12-Oct-22 |
7.60%, 2-Year Treasury bond |
|
19-Oct-22 |
12.56%, 25-Year Treasury bond |
|
26-Oct-22 |
Treasury bills (35,91,182,364 Days Maturity) |
|
November |
2-Nov-22 |
11.15%, 15-Year Treasury bond |
9-Nov-22 |
9.48%, 7-Year Treasury bond |
|
16-Nov-22 |
Treasury bills (35,91,182,364 Days Maturity) |
|
23-Nov-22 |
12.10%, 20-Year Treasury bond |
|
30-Nov-22 |
Treasury bills (35,91,182,364 Days Maturity) |
|
December |
7-Dec-22 |
10.25%, 10-Year Treasury bond |
14-Dec-22 |
Treasury bills (35,91,182,364 Days Maturity) |
|
21-Dec-22 |
12.56%, 25-Year Treasury bond |
|
28-Dec-22 |
Treasury bills (35,91,182,364 Days Maturity) |
|
January |
4-Jan-23 |
8.60%, 5-Year Treasury bond |
11-Jan-23 |
7.60%, 2-Year Treasury bond |
|
18-Jan-23 |
Treasury bills (35,91,182,364 Days Maturity) |
|
25-Jan-23 |
11.15%, 15-Year Treasury bond |
|
February |
1-Feb-23 |
10.25%, 10-Year Treasury bond |
8-Feb-23 |
Treasury bills (35,91,182,364 Days Maturity) |
|
15-Feb-23 |
12.10%, 20-Year Treasury bond |
|
22-Feb-23 |
Treasury bills (35,91,182,364 Days Maturity) |
|
March |
1-Mar-23 |
12.56%, 25-Year Treasury bond |
8-Mar-23 |
Treasury bills (35,91,182,364 Days Maturity) |
|
15-Mar-23 |
9.48%, 7-Year Treasury bond |
|
22-Mar-23 |
Treasury bills (35,91,182,364 Days Maturity) |
|
29-Mar-23 |
11.15%, 15-Year Treasury bond |
|
April |
5-Apr-23 |
12.56%, 25-Year Treasury bond |
12-Apr-23 |
Treasury bills (35,91,182,364 Days Maturity) |
|
19-Apr-23 |
12.10%, 20-Year Treasury bond |
|
27-Apr-23 |
7.60%, 2-Year Treasury bond |
|
May |
3-May-23 |
Treasury bills (35,91,182,364 Days Maturity) |
10-May-23 |
12.56%, 25-Year Treasury bond |
|
17-May-23 |
8.60%, 5-Year Treasury bond |
|
24-May-23 |
Treasury bills (35,91,182,364 Days Maturity) |
|
31-May-23 |
10.25%, 10-Year Treasury bond |
|
June |
7-Jun-23 |
11.15%, 15-Year Treasury bond |
14-Jun-23 |
Treasury bills (35,91,182,364 Days Maturity) |
|
21-Jun-23 |
12.10%, 20-Year Treasury bond |
|
28-Jun-23 |
12.56%, 25-Year Treasury bond |
*Minimum investment amount in T-bills is TZS 500,000 in multiples of TZS 10,000
*Minimum investment amount in T-bonds is TZS 1,000,000 in multiples of TZS 100,000
Secondary Market
Should your bids in the primary auction become unsuccessful or miss out the primary auction opportunity, NMB is there to assist you meet your investment needs through the secondary market.
NMB is an active player in secondary trading of government securities offering you competitive quotes on investment horizon ranging from 1 year to 20 years.
See our indicative bond runs below:
Paper Bid/Offer
2yr 6.50% - 6.0%
5yr 9.25% - 9.00%
7yr 9.50% - 9.00%
10yr 10.50% - 11.00%
15yr 12.00% - 11.50%
20yr 13.00% - 12.50%