UT · UEMOA government securities

Mali Treasury Bills & Bond Market

Current Malian government securities results from the regional UMOA-Titres auction market, covering BAT Treasury bills and OAT Treasury bonds.

Official source: UMOA-TitresLast rate update: Jul 8, 2026Currency: XOF

Current Government Securities Yields

Latest weighted auction yields by instrument and maturity. Coupon rates and prices are not substituted for market yields.

T-Bill · 12-month
4.5200%
As of Jul 8, 2026
Bond · 36-month
7.8700%
As of Jul 8, 2026
Bond · 60-month
7.3100%
As of Jul 8, 2026

Recent Auction Results

Dated primary-market results from UMOA-Titres auction results. Amounts are shown in millions of XOF.

Auction dateInstrumentTenorYieldOfferedAllotted
Jul 8, 2026T-Bill12-month4.5200%55,000m XOF16,007m XOF
Jul 8, 2026bond36-month7.8700%55,000m XOF42,326.2m XOF
Jul 8, 2026bond60-month7.3100%55,000m XOF2,000m XOF
Jun 24, 2026T-Bill12-month4.7000%50,000m XOF8,795m XOF
Jun 24, 2026bond36-month7.9200%50,000m XOF39,084m XOF
Jun 24, 2026bond60-month7.2787%50,000m XOF7,121m XOF
Jun 10, 2026T-Bill12-month5.0300%50,000m XOF11,728m XOF
Jun 10, 2026bond36-month7.9000%50,000m XOF42,380.5m XOF
Jun 10, 2026bond60-month7.1800%50,000m XOF891.5m XOF

Source: UMOA-Titres auction results.

How the Mali Government Securities Market Works

Government securities are issued through UMOA-Titres in the shared West African Economic and Monetary Union market. Auctions settle in West African CFA francs (XOF) through the regional central-bank and primary-dealer network.

BAT are short-term Treasury bills issued at a discount. OAT are medium- and long-term Treasury bonds, usually paying a stated annual coupon. Mansa reports the weighted average yield from completed auctions rather than treating the coupon as the market yield.

Local terminology: BAT · OAT · rendement moyen pondéré · West African CFA franc.

Mali Government Securities FAQ

What are the current Mali Treasury bill and bond rates?

Mali government-security observations as of Jul 8, 2026 are: 12-month 4.5200%, 36-month 7.8700%, 60-month 7.3100%. These are dated primary-market yields from UMOA-Titres, not indicative rates entered manually by Mansa Markets.

Who issues government securities in Mali?

UMOA-Titres publishes or administers the official government-securities results used on this page. Instruments are denominated in XOF, and Mansa Markets retains the official auction date with every validated observation.

What do Mali Treasury bill and bond terms mean?

Mali market terminology includes BAT · OAT · rendement moyen pondéré · West African CFA franc. Treasury bills are short-term government instruments, while government bonds have longer maturities. Coupon rates, prices and weighted auction yields are different measures and are not substituted for one another on this page.

How often are Mali government-security rates updated?

Mansa Markets checks UMOA-Titres auction results on its official publication schedule and updates this page after a new release passes validation. The “Last rate update” date reflects the underlying auction observation rather than a website deployment or page request.

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