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English news

17-Aug-2016

Oman raises OMR85mn from treasury bills

Oman’s central bank on Tuesday said that it raised OMR85 million by tendering government treasury bills. The treasury bills have a maturity period of 28 days from August 17 to September 14, 2016. The average discount rate and the average yield reached 0.53983% and 0.54006%, respectively. (Times of Oman)

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