Gilts in Issue - Index-Linked

Settlement: days
Settlement Date: (T+1): 2025-06-05
Ticker Name ISIN Coupon Maturity Date Tenor Issue Date Clean Price Accr. Int. Index Ratio Dirty Price Real Yield Impl. RPI Growth
TG48 0 1/8% Index-linked Treasury Gilt 2048 GB00BZ13DV40 0.12% 2048-08-10 20-30Y 2017-11-08 £63.34 £0.040 (115 days) 1.44105 £91.323 2.15% 3.18%
T62 0 3/8% Index-linked Treasury Gilt 2062 GB00B4PTCY75 0.38% 2062-03-22 30Y+ 2011-10-26 £57.59 £0.076 (75 days) 1.67914 £96.778 2.02% 3.18%
T68 0 1/8% Index-linked Treasury Gilt 2068 GB00BDX8CX86 0.12% 2068-03-22 30Y+ 2013-09-25 £47.83 £0.025 (75 days) 1.58586 £75.869 1.93% 3.13%
T2IL 2% Index-linked Treasury Stock 2035 GB0031790826 2.00% 2035-01-26 7-10Y 2002-07-11 £236.91 £0.718 (130 days) 2.25058 £237.628 1.46% 3.15%
TR8F 1¼% Index-linked Treasury Gilt 2055 GB00B0CNHZ09 1.25% 2055-11-22 30Y+ 2005-09-23 £80.59 £0.048 (14 days) 2.06030 £166.087 2.13% 3.19%
TG36 0 1/8% Index-linked Treasury Gilt 2036 GB00BYZW3J87 0.12% 2036-11-22 10-15Y 2016-03-11 £85.36 £0.005 (14 days) 1.52293 £129.994 1.53% 3.26%
TG39 0 1/8% Index-linked Treasury Gilt 2039 GB00BLH38265 0.12% 2039-03-22 10-15Y 2021-05-26 £79.62 £0.025 (75 days) 1.33453 £106.281 1.81% 3.17%
TR37 1 1/8% Index-linked Treasury Gilt 2037 GB00B1L6W962 1.12% 2037-11-22 10-15Y 2007-02-21 £94.51 £0.043 (14 days) 1.95799 £185.093 1.62% 3.25%
TR35 1 1/8% Index-linked Treasury Gilt 2035 GB00BT7HZZ68 1.12% 2035-09-22 10-15Y 2025-01-29 £96.95 £0.229 (75 days) 1.01307 £98.447 1.45% 3.23%
TR45 0 5/8% Index-linked Treasury Gilt 2045 GB00BMF9LH90 0.62% 2045-03-22 15-20Y 2023-04-27 £75.76 £0.127 (75 days) 1.08806 £82.559 2.14% 3.12%
TRTQ 0¾% Index-linked Treasury Gilt 2034 GB00B46CGH68 0.75% 2034-03-22 7-10Y 2011-05-25 £95.69 £0.153 (75 days) 1.70517 £163.321 1.28% 3.24%
TR40 0 5/8% Index-linked Treasury Gilt 2040 GB00B3LZBF68 0.62% 2040-03-22 10-15Y 2010-01-28 £84.05 £0.127 (75 days) 1.82886 £153.843 1.88% 3.16%
TR26 0 1/8% Index-linked Treasury Gilt 2026 GB00BYY5F144 0.12% 2026-03-22 0-2Y 2015-07-16 £99.84 £0.025 (75 days) 1.53341 £153.121 0.34% 3.61%
TG51 0 1/8% Index-linked Treasury Gilt 2051 GB00BNNGP882 0.12% 2051-03-22 20-30Y 2021-02-10 £59.96 £0.025 (75 days) 1.34640 £80.755 2.17% 3.18%
TG54 1¼% Index-linked Treasury Gilt 2054 GB00BPSNBG80 1.25% 2054-11-22 20-30Y 2024-03-14 £80.03 £0.048 (14 days) 1.04599 £83.753 2.18% 3.15%
TG52 0¼% Index-linked Treasury Gilt 2052 GB00B73ZYW09 0.25% 2052-03-22 20-30Y 2012-09-26 £61.42 £0.051 (75 days) 1.63598 £100.533 2.17% 3.18%
TR31 0 1/8% Index-linked Treasury Gilt 2031 GB00BNNGP551 0.12% 2031-08-10 5-7Y 2021-01-28 £96.18 £0.040 (115 days) 1.34872 £129.760 0.76% 3.46%
T42A 0 5/8% Index-linked Treasury Gilt 2042 GB00B3MYD345 0.62% 2042-11-22 15-20Y 2009-07-24 £80.28 £0.024 (14 days) 1.86379 £149.640 1.97% 3.20%
T27 1¼% Index-linked Treasury Gilt 2027 GB00B128DH60 1.25% 2027-11-22 2-5Y 2006-04-26 £102.71 £0.048 (14 days) 2.04048 £209.626 0.16% 3.72%
T29 0 1/8% Index-linked Treasury Gilt 2029 GB00B3Y1JG82 0.12% 2029-03-22 2-5Y 2011-11-23 £98.60 £0.025 (75 days) 1.66789 £164.479 0.50% 3.46%
TR65 0 1/8% Index-linked Treasury Gilt 2065 GB00BD9MZZ71 0.12% 2065-11-22 30Y+ 2016-02-24 £48.99 £0.005 (14 days) 1.52050 £74.494 1.96% 3.15%
T28 0 1/8% Index-linked Treasury Gilt 2028 GB00BZ1NTB69 0.12% 2028-08-10 2-5Y 2018-06-21 £99.53 £0.040 (115 days) 1.41813 £141.186 0.28% 3.64%
T30I 4 1/8% Index-linked Treasury Stock 2030 GB0008932666 4.12% 2030-07-22 5-7Y 1992-06-12 £338.40 £1.527 (134 days) 2.89193 £339.927 0.92% 3.18%
TR49 1 7/8% Index-linked Treasury Gilt 2049 GB00BT7J0134 1.88% 2049-09-22 20-30Y 2025-03-12 £94.61 £0.382 (75 days) 1.01029 £95.965 2.17% 3.17%
TR46 0 1/8% Index-linked Treasury Gilt 2046 GB00BYMWG366 0.12% 2046-03-22 20-30Y 2015-06-24 £66.44 £0.025 (75 days) 1.53610 £102.084 2.14% 3.14%
TG73 0 1/8% Index-linked Treasury Gilt 2073 GB00BM8Z2W66 0.12% 2073-03-22 30Y+ 2021-11-24 £53.75 £0.025 (75 days) 1.28435 £69.059 1.48% 3.43%
T32 1¼% Index-linked Treasury Gilt 2032 GB00B3D4VD98 1.25% 2032-11-22 7-10Y 2008-10-29 £101.59 £0.048 (14 days) 1.82373 £185.320 1.03% 3.34%
T33 0¾% Index-linked Treasury Gilt 2033 GB00BMF9LJ15 0.75% 2033-11-22 7-10Y 2023-06-28 £96.45 £0.029 (14 days) 1.06380 £102.632 1.20% 3.29%
TR56 0 1/8% Index-Linked Treasury Gilt 2056 GB00BYVP4K94 0.12% 2056-11-22 30Y+ 2016-11-30 £55.28 £0.005 (14 days) 1.49496 £82.646 2.08% 3.23%
TR50 0½% Index-linked Treasury Gilt 2050 GB00B421JZ66 0.50% 2050-03-22 20-30Y 2009-09-25 £68.44 £0.102 (75 days) 1.85562 £127.110 2.16% 3.18%
T41 0 1/8% Index-linked Treasury Gilt 2041 GB00BGDYHF49 0.12% 2041-08-10 15-20Y 2018-07-12 £75.22 £0.040 (115 days) 1.41397 £106.392 1.92% 3.20%
T44 0 1/8% Index-linked Treasury Gilt 2044 GB00B7RN0G65 0.12% 2044-03-22 15-20Y 2012-07-25 £69.74 £0.025 (75 days) 1.63347 £113.944 2.09% 3.14%
T47 0¾% Index-linked Treasury Gilt 2047 GB00B24FFM16 0.75% 2047-11-22 20-30Y 2007-11-21 £75.92 £0.029 (14 days) 1.90594 £144.737 2.11% 3.21%
T58 0 1/8% Index-linked Treasury Gilt 2058 GB00BP9DLZ64 0.12% 2058-03-22 30Y+ 2014-07-30 £54.18 £0.025 (75 days) 1.54752 £83.870 2.06% 3.22%