New 1-yr Israel bonds
New Long-term Plans? New 15-year Israel bonds

Israel Bonds Rates

Valid 1 to 14 October 2020

Deadline for current rates:

All bonds are issued TWICE monthly, on 1st and 15th of each month except Mazel Tov and eMitzvah bonds which are issued ONCE monthly on the 1st of each month, unless stated otherwise.

To purchase at the rates listed below, full payments and completed forms MUST BE RECEIVED by 14 October 2020.

For information on how to invest click here or call +44 (0)20 3936 2712

JUBILEE BONDS

£1,000  min. subs.

$25,000 min. subs. ($5,000 increments within 1 year of purchase)

Bond Rate USD $ (9th Int'l Dollar Series)
Maturity Date
2 year 1.00% Sept. 1, 2022
3 year 1.18% Sept. 1, 2023
5 year 1.44% Sept. 1, 2025
10 year 2.20% Sept. 1, 2030
15 year 2.44% Sept. 1, 2035

Issued on the 1st and 15th of each month. Semi-annual interest paid every May 1st and November 1st.

MACCABEE BONDS

$5,000 min. subs. ($500 increments within 1 year of purchase)

Bond Rate CAD $ 7th Series Rate USD $ 11th Series Maturity Date
2 year 1.04% 0.85% Sept. 1, 2022
3 year 1.20% 1.03% Sept. 1, 2023
5 year 1.72% 1.30% Sept. 1, 2025
10 year 2.51% 2.04% Sept. 1, 2030
15 year 2.76% 2.30% Sept. 1, 2035

Issued on the 1st and 15th of each month. Semi-annual interest paid every May 1st and November 1st.

SABRA BONDS

$5,000 min. subs. ($500 increments at time of purchase)

Term Rate CAD $ 7th Series Rate USD $ 8th Series Maturity Date
NEW FOR 2020!
1 year
0.72% 0.62% Sept. 1, 2021
MATURITY PAYMENT
CAD $5,034.61
MATURITY PAYMENT
USD $5,029.81

 

  • Maturity payment shown is per $5,000.
  • CAD $: Maximum allowable amount purchased by one purchaser per rate period is $1,000,000.
  • USD $: Maximum allowable amount purchased by one purchaser per rate period is $500,000.
  • Issued on the 1st and 15th of each month.
  • Maturity value and rate may be rounded.

$1,000 min. subs. ($100 increments at time of purchase)

Term Rate CAD $ 7th Series Rate USD $ 8th Series Maturity Date
3 year 1.38% 1.21% Sept. 1, 2023
MATURITY PAYMENT
CAD $1,041.43
MATURITY PAYMENT
USD $1,036.26

 

  • Maturity payment shown is per $1,000
  • Issued on the 1st and 15th of each month.
  • Maturity value and rate may be rounded.

MAZEL TOV BONDS

Minimum purchase of £/€/USD $100 and multiples of £/€/USD $10

Term Rate £ 11th Series Rate 11th Series Rate USD $ 9th Series
5 year 1.53% 1.00% 1.80%
  • Maximum subscription per month/per holder £/€/USD $2500

Your capital may be at risk

This advertisement has been issued by the Development Company for Israel (International) Limited, which is authorised and regulated by the Financial Conduct Authority and registered in England No. 01415853. This is not an offering, which could only be made by prospectus. Your capital is at risk, the rules under FSMA for the protection of retail clients do not apply. An investment in any of these bonds will not be covered by the provisions of the Financial Services Compensation scheme, nor by any similar scheme. Israel bonds are intended as a long-term investment as they are not listed or admitted to dealing on any recognised investment or stock exchange nor is there any established secondary market, as a consequence Israel bonds are not readily realisable before their maturity date. DCI (International) Ltd is not the issuer of these bonds, they are issued by the State of Israel. E/OE. 2020