Current Interest Rates

Sales Period: Valid Sep 15, 2019 Through Sep 30, 2019

JUBILEE BONDS Eleventh Series Download Prospectus
Bond Rate Maturity Date
2-Year 2.0800% 10/1/2021
3-Year 2.1100% 10/1/2022
5-Year 2.3400% 10/1/2024
10-Year 3.0000% 10/1/2029
15-Year 3.2400% 10/1/2034

Minimum Subscription: $25,000 and increments of $5,000.
Issued on the 1st and 15th of each month.

Interest paid every May 1st and November 1st.

1-Year Jubilee Bonds are not offered in this sales period.

MACCABEE BONDS Eleventh Series Download Prospectus
Bond Rate Maturity Date
2-Year 1.9300% 10/1/2021
3-Year 1.9600% 10/1/2022
5-Year 2.2000% 10/1/2024
10-Year 2.8400% 10/1/2029
15-Year 3.1000% 10/1/2034

Minimum Subscription: $5,000 and increments of $500.
Issued on the 1st and 15th of each month.

Interest paid every May 1st and November 1st.

1-Year Maccabee Bonds are not offered in this sales period.

SABRA BONDS THREE YEAR Eighth Series Download Prospectus
Bond Rate Maturity Date Maturity Payment
3-Year 2.1600% 10/1/2022 Holder receives $1066.27 per $1000.00 at maturity

Minimum Subscription: $1,000 and increments of $100.
Issued on the 1st and 15th of each month.

*Maturity value and rate may be rounded.

2-Year, 5-Year and 10-Year Sabra Bonds are not offered in this sales period.

MAZEL TOV BONDS Eighth Series Download Prospectus
Bond Rate Maturity Date Maturity Payment
5-Year 2.7800% 10/1/2024 Holder receives $114.71 per $100.00 at maturity

Minimum Subscription: $100 and increments of $10, max $2,500 per purchaser per holder per month.
Issued on the 1st of the month.

Maximum allowable amount purchased by one person during each monthly sales period, registered in the name of one holder, is $2,500; interest paid at maturity.

Maturity value and rate may be rounded.

10-Year Mazel Tov Bonds are not offered in this sales period.

eMITZVAH BONDS Eighth Series Download Prospectus
Bond Rate Maturity Date Maturity Payment
5-Year 2.7800% 10/1/2024 Holder receives $41.30 per $36.00 at maturity

Minimum Subscription: $36 and increments of $18, maximum per day/per holder $90.
Issued on the 1st of the month.

May only be purchased online at israelbonds.com

Maximum allowable amount purchased by one person on any purchase date, registered in the name of one holder, is $90.

Maturity value and rate may be rounded.

FLOATING RATE LIBOR BONDS Sixteenth Series Download Prospectus
Bond Rate Maturity Date Basis Points
2-Year 2.3625% 10/1/2021 30

Minimum Subscription: $5,000 and increments of $500
Issued on the 1st and 15th of each month.

Initial interest rate is equal to the 6-month LIBOR rate in effect on the initial interest determination date plus or minus the spread listed above in basis points. The spread remains fixed until maturity, but the interest rate is adjusted semi-annually after the initial interest period.

Interest paid every June 1st and December 1st.

1-Year, 3-Year, 5-Year and 10-Year Floating Rate LIBOR Bonds are not offered in this sales period.

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