Bond Factsheet
Bond Factsheet

CAPITA 2.180% 10Mar2031 Corp (SGD)

CMT MTN Pte Ltd

Indicative

Full Lot

Bid Price
97.392
Change in Bid Price
0.075
Bid Yield (%)
2.810 %
Change in Bid Yield
remove 0.018
Ask Price
97.925
Change in Ask Price
0.075
Ask Yield (%)
2.680 %
Change in Ask Yield
remove 0.018

Indicative price as of 02 Oct 2026, 4:33pm

Created with Highcharts 10.3.3Yield (%)Chart context menuYield1 Sep3 Sep5 Sep7 Sep9 Sep11 Sep13 Sep15 Sep17 Sep19 Sep21 Sep23 Sep25 Sep27 Sep29 Sep1 Oct2.42.52.62.72.82.9

Ask Yield to Maturity

Bid Yield to Maturity


Bond InformationCMT MTN Pte. Ltd. operates as a special purpose entity. The Company was formed for the purpose of issuing debt securities to repay existing credit facilities, refinance indebtedness, and for acquisition purposes.

Bond Issuer

CMT MTN Pte Ltd

Guarantor

CapitaLand Integrated Commercial Trust

Announcement Date

02 Mar 2026

Issue Date

10 Mar 2026

Maturity Date

10 Mar 2031

Years to Maturity / Next Call

4.429 / -

Modified Duration

4.181 @ 02 Oct 2026

Issue / Reoffer Price

100.000

Issue / Reoffer Yield

2.180

Coupon Type

Fixed

Annual Coupon Rate

2.180

Coupon Frequency

Semi Annually

Seniority

Senior Unsecured

Reference Rate

-

ISIN

SGXF59647051

CUSIP

DG0292244

Bond Currency

SGD

Total Issue Size

300,000,000

Min. Investment Quantity (Nominal)

SGD 250,000

Incremental Quantity (Nominal)

SGD 250,000

Bond Type

Corporate

Bond Sector

Financials

Bond Sub Sector

Real Estate Investment Trusts

Issuer Credit Rating (S&P/ Fitch)

***/ N.R

Bond Credit Rating (S&P/ Fitch)

***/ N.R

Shariah Compliant

No

Exchange Listed

SGX

Bond Feature(s)
Not Available
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