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Nominal Bonds

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
708 1.50% 15 May 2031 250 15 Jan 2020 16 Jan 2020 22 Jan 2020
709 2.75% 15 Apr 2037 150 22 Jan 2020 23 Jan 2020 28 Jan 2020
710 2.75% 15 Apr 2025 250 29 Jan 2020 30 Jan 2020 4 Feb 2020
712 1.50% 15 May 2031 250 12 Feb 2020 13 Feb 2020 18 Feb 2020
713 2.75% 15 Apr 2037 200 19 Feb 2020 20 Feb 2020 25 Feb 2020
714 2.75% 15 Apr 2025 250 26 Feb 2020 27 Feb 2020 3 Mar 2020
716 1.50% 15 May 2031 250 11 Mar 2020 12 Mar 2020 17 Mar 2020
717 2.75% 15 Apr 2037 150 18 Mar 2020 19 Mar 2020 24 Mar 2020
718 2.75% 15 Apr 2025 250 25 Mar 2020 26 Mar 2020 31 Mar 2020
Number Tender Settlement
707 12 Dec 2019 17 Dec 2019 View details
705 28 Nov 2019 3 Dec 2019 View details
704 21 Nov 2019 26 Nov 2019 View details
703 14 Nov 2019 19 Nov 2019 View details
701 31 Oct 2019 5 Nov 2019 View details
700 24 Oct 2019 30 Oct 2019 View details
699 17 Oct 2019 22 Oct 2019 View details
698 10 Oct 2019 15 Oct 2019 View details
696 26 Sep 2019 1 Oct 2019 View details
695 12 Sep 2019 17 Sep 2019 View details
693 22 Aug 2019 27 Aug 2019 View details
692 15 Aug 2019 20 Aug 2019 View details
691 8 Aug 2019 13 Aug 2019 View details
689 25 Jul 2019 30 Jul 2019 View details
688 18 Jul 2019 23 Jul 2019 View details
Last updated: 
Thursday, 12 December 2019