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Disclaimer: The information on this website does not constitute financial advice. You should obtain independent financial advice before buying exchange-traded Australian Government Bonds.

Exchange-traded Australian Government Bonds (eAGBs) available on the Australian Securities Exchange (ASX) are listed below.

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Available exchange-traded Treasury Bonds (eTBs)

Maturity Date (click for PDF Term Sheet)Interest Rate (pa)ASX CodeInterest Payment Date

21-Nov-2025

0.25%

GSBU25

21-May, 21-Nov

21-Apr-2026

4.25%

GSBG26

21-Apr, 21-Oct

21-Sep-2026

0.50%

GSBQ26

21-Sep, 21-Mar

21-Apr-2027

4.75%

GSBG27

21-Apr, 21-Oct

21-Nov-2027

2.75%

GSBU27

21-Nov, 21-May

21-May-2028

2.25%

GSBI28

21-May, 21-Nov

21-Nov-2028

2.75%

GSBU28

21-Nov, 21-May

21-Apr-2029

3.25%

GSBG29

21-Apr, 21-Oct

21-Nov-2029

2.75%

GSBU29

21-Nov, 21-May

21-May-2030

2.50%

GSBI30

21-May, 21-Nov

21-Dec-2030

1.00%

GSBW30

21-Dec, 21-Jun

21-Jun-2031

1.50%

GSBK31

21-Jun, 21-Dec

21-Nov-2031

1.00%

GSBU31

21-Nov, 21-May

21-May-2032

1.25%

GSBI32

21-May, 21-Nov

21-Nov-2032

1.75%

GSBU32

21-May, 21-Nov

21-Apr-2033

4.50%

GSBG33

21-Apr, 21-Oct

21-Nov-2033

3.00%

GSBU33

21-Nov, 21-May

21-May-2034

3.75%

GSBI34

21-May, 21-Nov

21-Dec-2034

3.50%

GSBW34

21-Dec, 21-Jun

21-Jun-2035

2.75%

GSBK35

21-Jun, 21-Dec

21-Dec-2035

4.25%

GSBW35

21-Dec, 21-Jun

21-Mar-2036

4.25%

GSBE36

21-Mar, 21-Sep

21-Apr-2037

3.75%

GSBG37

21-Apr, 21-Oct

21-Jun-2039

3.25%

GSBK39

21-Jun, 21-Dec

21-May-2041

2.75%

GSBI41

21-May, 21-Nov

21-Mar-2047

3.00%

GSBE47

21-Mar, 21-Sep

21-Jun-2051

1.75%

GSBK51

21-Jun, 21-Dec

21-Jun-2054

4.75%

GSBK54

21-Jun, 21-Dec

*If the Interest Payment Date falls on a non-business day, payment will be made on the next business day without additional interest. A business day is any day other than Saturday or Sunday when banks in Sydney are open for general banking.

Market prices for eTBs are published by the ASX at Delayed Prices for eAGBs.

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Available exchange-traded Treasury Indexed Bonds (eTIBs)

Maturity Date (click for PDF Term Sheet)Interest Rate (pa)ASX CodeInterest Payment Date*

20 September 2025

3.00%

GSIQ25

20-Sep, 20-Dec, 20-Mar, 20-Jun

21 November 2027

0.75%

GSIU27

21-Nov, 21-Feb, 21-May, 21-Aug

20 September 2030

2.50%

GSIQ30

20-Sep, 20-Dec, 20-Mar, 20-Jun

21 November 2032

0.25%

GSIU32

21-Nov, 21-Feb, 21-May, 21-Aug

21 August 2035

2.00%

GSIO35

21-Aug, 21-Nov, 21-Feb, 21-May

21 August 2040

1.25%

GSIO40

21-Aug, 21-Nov, 21-Feb, 21-May

21 February 2050

1.00%

GSIC50

21-Feb, 21-May, 21-Aug, 21-Nov

20 September 2025

3.00%

GSIQ25

20-Sep, 20-Dec, 20-Mar, 20-Jun

*If the Interest Payment Date falls on a non-business day, payment will be made on the next business day without additional interest. A business day is any day other than Saturday or Sunday when banks in Sydney are open for general banking.

 

Actual eTIB coupon interest payments per unit are provided in the following ASX market announcements:

Market prices for eTIBs are published by the ASX at Delayed Prices for eAGBs.

To learn more about prices and yields, see ASX’s Online Education Course on Exchange-traded Australian Government Bonds

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Exchange-traded Green Treasury Bonds (eGTBs)

eGTBs will be made available in 2025.