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Bank of Jamaica

30-day CD Auction Term Sheet – 26 May 2026

30-day CD Auction Term Sheet – 26 May 2026

BANK OF JAMAICA FIXED RATE CERTIFICATE OF DEPOSIT: 5.75% FR 30D-CD 20260529
JMB202600228


ISSUERBANK OF JAMAICA   AUCTION DATEWednesday, 27 May 2026OFFER VOLUMEJMD 35,000,000,000.00
JMD 33,250,000,000.00 allocated on Competitive basis
JMD   1,750,000,000.00 allocated on Non-competitive basisNON-COMPETITIVE BIDSAll bids from Public Sector Entities must be submitted as non-competitive bids. Bids allotted on a non-competitive basis will be settled at the weighted average price for the successfully allotted competitive bids.  

All bids from entities other than Public Sector entities must be submitted on a competitive basis.ISSUE PRICETo be determined through competitive biddingISSUE/SETTLEMENT DATE29 May 2026MATURITY DATE26 June 2026TENOR28 days                                            COUPONFixed at 5.75% per annumINTEREST PAYMENT         At maturity on 26 June 2026TAXATIONInterest on this instrument is subject to the withholding of taxes.APPLICATIONS Applications will be received via the JamClear® Central Securities Depository [JamClear®-CSD] between the hours of 9:30am to 10:45am 27 May 2026. Settlement will be effected via accounts in the JamClear® Real-time Gross Settlement system [JamClear®-RTGS] at the Bank of Jamaica on 29 May 2026.   RESERVE YIELDThe allocation of bids may be subject to a reserve yield. Bids above the reserve price yield will not be eligible for allocation.  ENTITLEMENTSInterest and principal payments will be effected through accounts housed in the JamClear® RTGS on the payment date.REGISTRATION OF SECURITIESIssued and registered in the JamClear®-CSD, which is the only legal registrar for the securities issued. MINIMUM BID SIZEThe minimum value for applications is JMD One Hundred Thousand Dollars ($100,000.00).

Post Author: Editorial Team

Syndicated from Bank of Jamaica · originally published .

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