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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
741 5.50% 15 Apr 2023
3.00% 20 Apr 2029
3.50% 14 Apr 2033
250
250
100
30 Sep 2020 1 Oct 2020 6 Oct 2020
742 0.5% 15 May 2024
1.50% 15 May 2031
1.75% 15 May 2041
250
250
100
7 Oct 2020 8 Oct 2020 13 Oct 2020
743 5.50% 15 Apr 2023
3.00% 20 Apr 2029
3.50% 14 Apr 2033
250
250
100
14 Oct 2020 15 Oct 2020 20 Oct 2020
744 0.5% 15 May 2024
1.50% 15 May 2031
1.75% 15 May 2041
250
250
100
21 Oct 2020 22 Oct 2020 28 Oct 2020
745 5.50% 15 Apr 2023
3.00% 20 Apr 2029
3.50% 14 Apr 2033
250
250
100
28 Oct 2020 29 Oct 2020 3 Nov 2020
Number Tender Settlement
740 24 Sep 2020 29 Sep 2020 View details
739 17 Sep 2020 22 Sep 2020 View details
738 10 Sep 2020 15 Sep 2020 View details
737 3 Sep 2020 8 Sep 2020 View details
736 21 Aug 2020 26 Aug 2020 View details
735 13 Aug 2020 18 Aug 2020 View details
734 6 Aug 2020 11 Aug 2020 View details
733 30 Jul 2020 4 Aug 2020 View details
732 23 Jul 2020 28 Jul 2020 View details
731 9 Jul 2020 14 Jul 2020 View details
730 2 Jul 2020 7 Jul 2020 View details
729 25 Jun 2020 30 Jun 2020 View details
728 11 Jun 2020 16 Jun 2020 View details
727 4 Jun 2020 9 Jun 2020 View details
726 28 May 2020 3 Jun 2020 View details
Last updated: 
Thursday, 24 September 2020