You'll be signed off in 60 seconds due to inactivity

English news

29-Nov-2017

Central bank raises OMR63mn from treasury bills

Oman's central bank raised OMR63mn from treasury bills, with a maturity period of 28 days. The average discount rate and the average yield reached 1.06769% and 1.06857%, respectively. 

Learn more about the cookies we use.