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INVEST IN ISRAEL.
INVEST IN ISRAEL BONDS.

Israel Bonds Current Rates

Valid until April 30, 2017

Deadline for current rates:

To purchase at the rates listed below, full payments and completed forms
must be received by April 28, 2017, at 12pm
New rates will be posted on April 28, 2017

PDF Printable Ratesheet

JUBILEE ISSUE BONDS Minimum Subscription: $25,000 and increments of $5,000.
$CDN ISRAEL BONDS
TERM RATE SEMI-ANNUAL INTEREST MATURITY DATE
2 yr 1.37% CDN $171.25 May 1, 2019
3 yr 1.67% CDN $208.75 May 1, 2020
5 yr 2.34% CDN $292.50 May 1, 2022
10 yr 3.40% CDN $425.00 May 1, 2027
  • This is a fixed term bond issued twice each month.
  • Semi-annual interest paid every May 1st and Nov. 1st.
  • CDN $5,000 additional amounts available within one year of initial purchase.
  • MEMORANDUM
  • Invest Now!
$US ISRAEL BONDS
TERM RATE SEMI-ANNUAL INTEREST MATURITY DATE
2 yr 2.00% US $250.00 May 1, 2019
3 yr 2.22% US $277.50 May 1, 2020
5 yr 2.92% US $365.00 May 1, 2022
10 yr 3.80% US $475.00 May 1, 2027
  • This is a fixed term bond issued twice each month.
  • Semi-annual interest paid every May 1st and Nov. 1st.
  • US $5,000 additional amounts available within one year of initial purchase.
  • PROSPECTUS
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MACCABEE BONDS Minimum Subscription: $5,000 and increments of $500.
$CDN ISRAEL BONDS
TERM RATE SEMI-ANNUAL INTEREST MATURITY DATE
2 yr 1.22% CDN $30.50 May 1, 2019
3 yr 1.52% CDN $38.00 May 1, 2020
5 yr 2.19% CDN $54.75 May 1, 2022
10 yr 3.25% CDN $81.25 May 1, 2027
  • This is a fixed term bond issued twice each month.
  • Semi-annual interest paid every May 1st and Nov. 1st.
  • CDN $500 additional amounts available within one year of purchase.
  • MEMORANDUM
  • Invest Now!
$US ISRAEL BONDS
TERM RATE SEMI-ANNUAL INTEREST MATURITY DATE
2 yr 1.85% US $46.25 May 1, 2019
3 yr 2.07% US $51.75 May 1, 2020
5 yr 2.77% US $69.25 May 1, 2022
10 yr 3.65% US $91.25 May 1, 2027
  • This is a fixed term bond issued twice each month.
  • Semi-annual interest paid every May 1st and Nov. 1st.
  • US $500 additional amounts available within one year of purchase.
  • PROSPECTUS
  • Invest Now!
SABRA BOND Minimum Subscription: $1,000 and increments of $100.
$CDN ISRAEL BONDS
TERM RATE MATURITY PAYMENT MATURITY DATE
3 yr 2.08% CDN $1,063.77
per $1000 at maturity
May 1, 2020
  • This is a compound interest bond issued twice each month.
  • Principal and compound interest paid at maturity.
  • CDN $100 additional amounts available only at time of purchase.
  • MEMORANDUM
  • Invest Now!
$US ISRAEL BONDS
TERM RATE MATURITY PAYMENT MATURITY DATE
3 yr 2.40% US $1,073.81
per $1000 at maturity
May 1, 2020
  • This is a compound interest bond issued twice each month.
  • Principal and compound interest paid at maturity.
  • US $100 additional amounts available only at time of purchase.
  • PROSPECTUS
  • Invest Now!
MAZEL TOV BONDS Minimum Subscription: $100 and increments of $10, maximum per day/per holder $2500.
$CDN ISRAEL BONDS
TERM RATE MATURITY PAYMENT MATURITY DATE
5 yr 2.72% CDN $114.37
per $100 at maturity
May 1, 2022
  • This is a compound interest bond issued on the first of each month.
  • Principal and compound interest paid at maturity.
  • CDN $10 additional amounts available only at time of purchase.
  • Maximum purchase of CDN $2,500 per purchaser per holder per day.
  • MEMORANDUM
  • Invest Now!
$US ISRAEL BONDS
TERM RATE MATURITY PAYMENT MATURITY DATE
5 yr 3.34% US $117.86
per $100 at maturity
May 1, 2022
  • This is a compound interest bond issued on the first of each month.
  • Principal and compound interest paid at maturity.
  • US $10 additional amounts available only at time of purchase.
  • Maximum purchase of US $2,500 per purchaser per holder per day.
  • PROSPECTUS
  • Invest Now!
FLOATING RATE LIBOR BONDS Minimum Subscription: $5,000 and increments of $500
$US ISRAEL BONDS
TERM RATE SPREAD MATURITY DATE
2 yr 1.6875% +25bp May 1, 2019
3 yr 1.8875% +45bp May 1, 2020
5 yr 2.3375% +90bp May 1, 2022
  • This is a floating rate LIBOR bond issued twice each month.
  • Semi-annual interest paid every June 1st and December 1st.
  • The spread remains fixed until maturity, but the interest rate is adjusted semi-annually after the initial interest period.
  • Initial interest rate is equal to the 6-month LIBOR rate in effect on the initial interest determination date plus or minus the listed basis points.
  • US $500 additional amounts available within one year of initial purchase.
  • PROSPECTUS
  • Invest Now!

Important notes for all Israel Bonds products:

  • All Israel Bonds are eligible for: self-directed RRSP / RRIF / RESP/ TFSA.
  • Israel Bonds can be registered to more than one individual.
  • CANADA-ISRAEL SECURITIES, LIMITED CAN ONLY ACCEPT ORDERS FROM CANADIAN RESIDENTS.
  • $CDN Israel Bonds can only be registered to Canadian residents.


Israel Bonds are sold all year in Canada exclusively by Canada Israel Securities, Limited (CISL). Israel bonds must be held to maturity. Buy.Build.Believe; Invest in Your Values; TopBond; Promise of a Bond, RRSPromise; Young Builders of Israel and Because Values Matter are all registered trademarks of CISL; which disclaims the right to the exclusive use and registration of the Crest of Israel. This is not an offering. Investment amounts, interest rates and maturities available on all Israel bonds will vary according to current offerings by the State of Israel. Rates, terms and bond issues as listed and/or advertised are subject to change or be discontinued without notice. This does not constitute tax advice. Please consult with your financial/tax advisor should you have any tax-related questions. As with any part of your financial plan, you should always consult with your financial advisor to ensure the plan is suitable for your situation. E/OE.

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