Nominal bonds are wholesale fixed-term debt securities the Crown issues to and repurchases from registered tender counterparties. Nominal bonds have an initial maturity of one year or more.
Number | Maturity | Volume ($m) | Announcement | Tender | Settlement |
---|---|---|---|---|---|
759 |
0.5% 15 May 2024 4.50% 15 Apr 2027 1.75% 15 May 2041 |
200 150 100 |
10 Mar 2021 | 11 Mar 2021 | 16 Mar 2021 |
760 |
2.75% 15 Apr 2025 3.00% 20 Apr 2029 3.50% 14 Apr 2033 |
200 150 100 |
17 Mar 2021 | 18 Mar 2021 | 23 Mar 2021 |
761 |
0.5% 15 May 2024 4.50% 15 Apr 2027 1.75% 15 May 2041 |
200 150 100 |
24 Mar 2021 | 25 Mar 2021 | 30 Mar 2021 |
Number | Tender | Settlement | |
---|---|---|---|
758 | 4 Mar 2021 | 9 Mar 2021 | View details |
757 | 25 Feb 2021 | 2 Mar 2021 | View details |
756 | 18 Feb 2021 | 23 Feb 2021 | View details |
755 | 11 Feb 2021 | 16 Feb 2021 | View details |
754 | 28 Jan 2021 | 2 Feb 2021 | View details |
753 | 21 Jan 2021 | 27 Jan 2021 | View details |
752 | 14 Jan 2021 | 19 Jan 2021 | View details |
751 | 17 Dec 2020 | 22 Dec 2020 | View details |
750 | 10 Dec 2020 | 15 Dec 2020 | View details |
749 | 3 Dec 2020 | 8 Dec 2020 | View details |
748 | 26 Nov 2020 | 1 Dec 2020 | View details |
747 | 19 Nov 2020 | 24 Nov 2020 | View details |
746 | 12 Nov 2020 | 17 Nov 2020 | View details |
745 | 5 Nov 2020 | 10 Nov 2020 | View details |
744 | 22 Oct 2020 | 28 Oct 2020 | View details |