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U.K. GOVERNMENT BONDS

 COUPONMATURITY
DATE
CURRENT
PRICE/YIELD
PRICE/YIELD
CHANGE
TIME
3-Month0.00002/22/201099.89 / .480.002 / .00913:19
6-Month0.00005/24/201099.75 / .510.001 / .00611:00
1-Year6.25011/25/2010105.46 / .68-0.092 / .04513:19
2-Year3.25012/07/2011104.08 / 1.20-0.072 / .02713:19
3-Year5.25006/07/2012108.9 / 1.63-0.088 / .02313:19
4-Year4.50003/07/2013107.69 / 2.05-0.09 / .02213:19
5-Year5.00009/07/2014110.66 / 2.61-0.143 / .02613:19
6-Year4.75009/07/2015110.1 / 2.84-0.13 / .02113:19
7-Year4.00009/07/2016105.79 / 3.05-0.109 / .01613:19
8-Year8.75008/25/2017137.98 / 3.17-0.167 / .01613:19
9-Year5.00003/07/2018112.17 / 3.31-0.102 / .01213:19
10-Year4.50003/07/2019107.48 / 3.55-0.13 / .01513:19
15-Year5.00003/07/2025110.54 / 4.07-0.39 / .03213:19
20-Year4.75012/07/2030108.52 / 4.14-0.464 / .03113:19
30-Year4.75012/07/2038110.66 / 4.12-0.515 / .02813:19

 

BANK OF ENGLAND INTEREST RATES

CURRENT VALUE: 0.5
 

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Unless indicated otherwise: intraday data is at least 15 minutes delayed; mutual fund NAVs are updated at the close of every market day; all prices are in the local currency; Time is ET.

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