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معلومات مباشر
معلومات مباشر
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The Central Bank of Oman issued treasury bills with a total value of 38.1 million Omani riyals, divided into two issuances with different maturities. The repo rate was set at 4.25%, and the discount rate on financial facilities was set at 4.75%. These short-term instruments aim to finance the Omani government and provide investment opportunities for local banks, with maturities ranging from 91 to 182 days.
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