Israel Bonds Rates

Valid from June 15-30, 2022

Deadline for current rates:

All bonds are issued TWICE monthly, on 1st and 15th of each month except Mazel Tov Savings bonds, eMazel Tov Savings bonds, and Shalom Savings 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 June 30th, 2022.

JUBILEE BONDS

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

Bond Rate CAD $ 8th Series Rate USD $ 12th Series Maturity Date
2 year 3.80% 3.32% July 1, 2024
3 year 4.08% 3.94% July 1, 2025
5 year 4.48% 4.16% July 1, 2027
10 year 4.85% 4.41% July 1, 2032
15 year 5.10% 4.66% July 1, 2037
  • 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 $ 8th Series Rate USD $ 12th Series Maturity Date
2 year 3.64% 3.17% July 1, 2024
3 year 3.93% 3.80% July 1, 2025
5 year 4.33% 4.01% July 1, 2027
10 year 4.70% 4.26% July 1, 2032
15 year 4.95% 4.51% July 1, 2037
  • 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 $ 8th Series Rate USD $ 9th Series Maturity Date
1 year 3.13% N/A July 1, 2023
MATURITY PAYMENT
CAD $5,156.50
  • Maturity payment shown is per $5,000
  • The maximum amount of 1-Year Sabra Savings Bonds that may be purchased by any person to be issued on any Issue Date 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 $ 8th Series Rate USD $ 9th Series Maturity Date
3 year 4.20% 3.86% July 1, 2025
MATURITY PAYMENT
CAD $1,131.49
MATURITY PAYMENT
USD $1,120.44
  • 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 SAVINGS BONDS
Not available Online

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

Bond Rate CAD $ 8th Series Rate USD $ 9th Series Maturity Date
5 year 4.20% 4.14% July 1, 2027
Maturity Payment
CAD $
122.85
Maturity Payment
USD $122.50
  • Maturity payment shown is per $100
  • Maximum allowable amount purchased by one person during each monthly sales period, registered in the name of one holder, is $2,500
  • Issued on the 1st of each month
  • Maturity value and rate may be rounded

eMAZEL TOV SAVINGS BONDS
 Available Online only 

$36 min. subs. ($1 increments at time of purchase)

Bond Rate CAD $ 8th Series Rate USD $ 9th Series Maturity Date
5 year 4.30% 4.24% July 1, 2027
Maturity Payment
CAD $
44.44
Maturity Payment
USD $44.31
  • May only be purchased online at online.israelbonds.ca
  • Maturity payment shown is per $36
  • Maximum allowable amount purchased by one person during each monthly sales period, registered in the name of one holder, is $2,500; Matures 5 years from issue date
  • Issued on the 1st of each month
  • Maturity value and rate may be rounded

SHALOM
SAVINGS BONDS
 Available Online only 

$36 min. subs. ($1 increments at time of purchase)

Bond Rate CAD $ 8th Series Rate USD $ 9th Series Maturity Date
1 year 2.56% 1.98% July 1, 2023
Maturity Payment
CAD $
36.92
Maturity Payment
USD $36.71
2 year 2.60% July 1, 2024
Maturity Payment
USD $37.90
  • May only be held by a religious, charitable, literary, scientific or educational organization, contributions to which are, at the time of transfer, deductible for income and similar tax purposes
  • May only be purchased online at online.israelbonds.ca
  • Maturity payment shown is per $36
  • Maximum allowable amount purchased by one purchaser per rate period is $1,000,000
  • Issued on the 1st of each month
  • Maturity value and rate may be rounded
  • May not be purchased for governmental entities, individuals or personal trusts

Information on the State of Israel's 18K Annual Report:
Date of end of last fiscal year: December 31, 2020, as amended June 30, 2021

Important notes for all Israel Bonds products:

  • Most Israel bonds can be purchased for Registered Plans such as a self-directed RRSP / TFSA / RESP/ RDSP
  • Israel bonds can be registered to more than one individual.
  • CANADA-ISRAEL SECURITIES, LIMITED CAN ONLY ACCEPT ORDERS FROM CANADIAN RESIDENTS.
  • CAD $ Israel bonds can only be registered to Canadian residents.

 

Canada-Israel Securities, Limited (CISL)/Israel Bonds is registered as an Exempt Market Dealer, whose primary regulator is the Ontario Securities Commission and securities regulators/securities regulating authorities in other Provinces and Territories of Canada. Israel Bonds are issued by the State of Israel. Israel bonds must be held to maturity. This is not an offering. Investment amounts, interest rates and maturities available on Israel bonds vary based on current offerings by the State of Israel. Rates, terms and bond issues listed and/or advertised are subject to change or may 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. 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. E/OE 2022