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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
689 2.75% 15 Apr 2025 250 24 Jul 2019 25 Jul 2019 30 Jul 2019
691 3.00% 20 Apr 2029 250 7 Aug 2019 8 Aug 2019 13 Aug 2019
692 2.75% 15 Apr 2037 150 14 Aug 2019 15 Aug 2019 20 Aug 2019
693 2.75% 15 Apr 2025 250 21 Aug 2019 22 Aug 2019 27 Aug 2019
695 3.00% 20 Apr 2029 250 11 Sep 2019 12 Sep 2019 17 Sep 2019
696 2.75% 15 Apr 2037 150 18 Sep 2019 19 Sep 2019 24 Sep 2019
697 2.75% 15 Apr 2025 250 25 Sep 2019 26 Sep 2019 1 Oct 2019
Number Tender Settlement
688 18 Jul 2019 23 Jul 2019 View details
687 11 Jul 2019 16 Jul 2019 View details
685 27 Jun 2019 2 Jul 2019 View details
684 20 Jun 2019 25 Jun 2019 View details
683 13 Jun 2019 18 Jun 2019 View details
681 23 May 2019 28 May 2019 View details
680 16 May 2019 21 May 2019 View details
679 9 May 2019 14 May 2019 View details
677 18 Apr 2019 26 Apr 2019 View details
676 11 Apr 2019 16 Apr 2019 View details
674 28 Mar 2019 2 Apr 2019 View details
673 21 Mar 2019 26 Mar 2019 View details
672 14 Mar 2019 19 Mar 2019 View details
670 28 Feb 2019 5 Mar 2019 View details
669 21 Feb 2019 26 Feb 2019 View details
Last updated: 
Thursday, 18 July 2019