CAG8787NAB06
|
CAD250,000,000 2.875 per cent. Class
A Guaranteed Unwrapped Bonds due 12 December 2024
|
Yes
72.74%
|
No
24.88%
|
No
24.88%
|
No
24.88%
|
No
24.88%
|
XS1078777114
|
£500,000,000 4 per cent. Class A
Guaranteed Unwrapped Bonds due 19 June 2025
|
Yes
93.55%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
XS2576550326
|
€650,000,000 4.000 per cent. Class A
Green Unwrapped Bonds due 18 April 2027
|
Yes
89.40%
|
Yes
99.98%
|
Yes
99.98%
|
Yes
99.98%
|
Yes
99.98%
|
XS1335311574
|
£45,000,000 0.721 per cent. Index
Linked Class A Unwrapped Bonds due 21 December 2027
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
XS2278588343
|
US$40,000,000 1.604 per cent. Class
A Unwrapped Bonds due 23 December 2027
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
XS2438026440
|
€575,000,000 0.875 per cent. Class A
Green Unwrapped Bonds due 31 January 2028
|
Yes
87.89%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
XS1371533867
|
£300,000,000 3.5 per cent. Class A
Guaranteed Unwrapped Bonds due 25 February 2028
|
Yes
93.45%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
XS0092157600
|
£330,000,000 6.75 per cent.
Guaranteed Bonds due 16 November 2028
|
Yes
93.92%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
XS2254339331
|
US$57,000,000 2.06 per cent. Class A
Guaranteed Unwrapped Bonds due 12 November 2030
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
XS2576550672
|
€1,000,000,000 4.375 per cent. Class
A Green Unwrapped Bonds due 18 January 2031
|
Yes
96.19%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
XS2755443020
|
£275,000,000 7.125 per cent. Class A
Unwrapped Bonds due 30 April 2031
|
Yes
98.17%
|
Yes
99.96%
|
Yes
99.96%
|
Yes
99.96%
|
Yes
99.96%
|
XS1555168365
|
£250,000,000 2.625 per cent. Class A
Guaranteed Unwrapped Bonds due 24 January 2032
|
Yes
96.50%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
XS2438026366
|
€575,000,000 1.250 per cent. Class A
Green Unwrapped Bonds due 31 January 2032
|
Yes
93.30%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
XS0107289323
|
£200,000,000 6.5 per cent.
Guaranteed Bonds due 9 February 2032
|
Yes
99.95%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
XS0800185174
|
£300,000,000 4.375 per cent. Class A
Guaranteed Unwrapped Bonds due 3 July 2034
|
Yes
99.55%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
XS1334772925
|
£40,000,000 0.75 per cent. Index
Linked Class A Bonds due 18 December 2034
|
Yes
62.61%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
XS0268693743
|
£600,000,000 5.125 per cent.
Guaranteed Notes due 28 September 2037
|
Yes
98.54%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
XS0382041225
|
JPY 20,000,000,000 3.28 per cent.
Fixed Rate Class A Unwrapped Bonds due 20 August 2038
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
XS2161831776
|
£350,000,000 Class A 2.375 per cent.
Guaranteed Unwrapped Bonds due 22 April 2040
|
Yes
95.79%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
XS2707822644
|
£300,000,000 8.250 per cent. Class A
Unwrapped Bonds due 25 April 2040
|
Yes
99.69%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
XS0404852526
|
£50,000,000 3.853 per cent.
Sub-Class A1 Index-Linked Unwrapped Bonds due 15 December
2040
|
Yes
57.03%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
XS0590171103
|
£500,000,000 5.50 per cent. Class A
Guaranteed Unwrapped Bonds due 11 February 2041
|
Yes
95.68%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
XS0318577912
|
£50,000,000 1.98 per cent. Sub-Class
A5 Index-Linked Unwrapped Bonds due 28 August 2042
|
Yes
74.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
XS0455926260
|
£55,000,000 2.091 per cent. Class A
Guaranteed Unwrapped Index-Linked Bonds due 6 October
2042
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
XS2755443376
|
£575,000,000 7.750 per cent. Class A
Unwrapped Bonds due 30 April 2044
|
Yes
96.01%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
XS0548262061
|
£40,000,000 1.974 per cent. Class A
Guaranteed Unwrapped Index-Linked Bonds due 12 October
2045
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
XS0800186222
|
£300,000,000 4.625 per cent. Class A
Guaranteed Unwrapped Bonds due 4 June 2046
|
Yes
89.41%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
XS0318577755
|
£100,000,000 1.846 per cent.
Sub-Class A4 Index-Linked Unwrapped Bonds due 28 August
2047
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
XS0318577672
|
£200,000,000 1.819 per cent.
Sub-Class A3 Index-Linked Unwrapped Bonds due 28 August
2049
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
XS2168290000
|
£40,000,000 Class A 2.442 per cent.
Guaranteed Unwrapped Bonds due 12 May 2050
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
XS0265832922
|
£300,000,000 1.6802 per cent.
Guaranteed RPI-Linked Notes due 11 July 2053
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
XS0267219896
|
£300,000,000 1.681 per cent.
Guaranteed RPI-Linked Notes due 11 July 2055
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
XS0318577599
|
£200,000,000 1.771 per cent.
Sub-Class A2 Index-Linked Unwrapped Bonds due 28 August
2057
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
XS1537083716
|
£400,000,000 7.738 per cent.
Guaranteed Class A Unwrapped Bonds due 9 April 2058
|
Yes
98.69%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
XS0318577326
|
£350,000,000 1.76 per cent.
Sub-Class A1 Index-Linked Unwrapped Bonds due 28 August
2062
|
Yes
56.71%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|
Yes
100.00%
|