ANNOUNCEMENT DATE
:
22-May-2025
CATEGORY
:
LIQUIDITY POSITION
SUB-CATEGORY
:
LIQUIDITY POSITION
TITLE
:
202500000389
ISSUER NAME
:
BANK NEGARA MALAYSIA
DESCRIPTION
:
CONTENT
:
Conventional Islamic Aggregate Opening Balance 1,280.40 318.40 BNM MM & Repo Maturities 31,402.70 23,101.90 BNM MM & Repo Initiation 0.00 0.00 Other BNM Market & Non-Market Activities 772.00 0.00 Government Operations 0.00 -86.30 BNM & Government Securities Redemption/(Issua 0.00 0.00 Coupon & Dividend Payments 464.00 0.00 Statutory Reserve 0.00 328.00 Net payments: Conventional - Islamic 0.00 0.00 ------------------------------ Expected Closing Balance 33,919.10 23,662.00 Remarks: OPERATIONS: At 1600 hrs, BNM will conduct up to RM37.4 billion conventional overnight tende r and RM23.7 billion for Murabahah overnight tender. Tender will be closed at 1 630 hrs. BNM reserves the right to reject bank's bids for overnight tender if liquidity position is not reported before 1600 hrs. Reverse Repo, SBBA and CCM facilities are available for tenors of 1 week, 1 mon th and 3 months. Kindly contact us at 03-26982116 / 03-26982094 / 03-56378439 o r email [email protected] / [email protected] / [email protected]. REVERSE REPO TENDER RM2500 mil for 7 days : COMPETITIVE LENDING 29/05/2025 RM1000 mill for 92 days : COMPETITIVE LENDING 22/08/2025 All offers must be submitted before 1100 hrs. *** DISCLAIMER *** THIS COMPUTER SYSTEMS AND APPLICATIONS ARE OWNED AND OPERATED BY BURSA MALAYSIA.
ATTACHMENT
:
SOURCE
:
BURSA