Gilts in Issue - Index-Linked

Settlement: days
Tax Rate: %
Updated: 2025-10-17 17:00 | Settlement Date: (T+1): 2025-10-20
Bond Coupon Maturity Date Tenor Issue Date Clean Price Accr. Int. Index Ratio Dirty Price Real Yield Net Real Yield Impl. RPI Growth
0 1/8% Index-linked Treasury Gilt 2048
TG48 - GB00BZ13DV40
0.125% 2048-08-10 20-30Y 2017-11-08 £62.88
-0.76%
£0.024
(71 days)
1.48155 £93.188
-0.72%
2.217%
3.5bps
2.185% 3.15%
0 3/8% Index-linked Treasury Gilt 2062
T62 - GB00B4PTCY75
0.375% 2062-03-22 30Y+ 2011-10-26 £57.09
-0.94%
£0.029
(28 days)
1.72633 £98.598
-0.90%
2.065%
2.9bps
1.961% 3.22%
0 1/8% Index-linked Treasury Gilt 2068
T68 - GB00BDX8CX86
0.125% 2068-03-22 30Y+ 2013-09-25 £47.91
-1.29%
£0.010
(28 days)
1.63043 £78.130
-1.25%
1.938%
3.3bps
1.900% 3.19%
2% Index-linked Treasury Stock 2035
T2IL - GB0031790826
2.000% 2035-01-26 7-10Y 2002-07-11 £240.22
-0.35%
£0.467
(86 days)
2.26959 £240.687
-0.34%
1.361%
4.2bps
0.971% 3.16%
1¼% Index-linked Treasury Gilt 2055
TR8F - GB00B0CNHZ09
1.250% 2055-11-22 30Y+ 2005-09-23 £79.48
-0.66%
£0.513
(151 days)
2.11821 £169.452
-0.60%
2.196%
2.8bps
1.907% 3.20%
0 1/8% Index-linked Treasury Gilt 2036
TG36 - GB00BYZW3J87
0.125% 2036-11-22 10-15Y 2016-03-11 £84.72
-0.46%
£0.051
(151 days)
1.56573 £132.721
-0.43%
1.644%
4.4bps
1.616% 3.06%
0 1/8% Index-linked Treasury Gilt 2039
TG39 - GB00BLH38265
0.125% 2039-03-22 10-15Y 2021-05-26 £79.04
-0.42%
£0.010
(28 days)
1.37204 £108.459
-0.38%
1.911%
3.3bps
1.883% 3.01%
1 1/8% Index-linked Treasury Gilt 2037
TR37 - GB00B1L6W962
1.125% 2037-11-22 10-15Y 2007-02-21 £93.33
-0.46%
£0.462
(151 days)
2.01302 £188.804
-0.41%
1.746%
4.2bps
1.511% 3.06%
1 1/8% Index-linked Treasury Gilt 2035
TR35 - GB00BT7HZZ68
1.125% 2035-09-22 7-10Y 2025-01-29 £95.95
-0.46%
£0.087
(28 days)
1.04154 £100.026
-0.42%
1.573%
5.0bps
1.341% 3.02%
0 5/8% Index-linked Treasury Gilt 2045
TR45 - GB00BMF9LH90
0.625% 2045-03-22 15-20Y 2023-04-27 £75.24
-0.72%
£0.048
(28 days)
1.11864 £84.221
-0.68%
2.211%
4.1bps
2.063% 3.07%
0¾% Index-linked Treasury Gilt 2034
TRTQ - GB00B46CGH68
0.750% 2034-03-22 7-10Y 2011-05-25 £94.95
-0.31%
£0.058
(28 days)
1.75309 £166.558
-0.27%
1.393%
4.0bps
1.237% 3.03%
0 5/8% Index-linked Treasury Gilt 2040
TR40 - GB00B3LZBF68
0.625% 2040-03-22 10-15Y 2010-01-28 £83.32
-0.43%
£0.048
(28 days)
1.88026 £156.754
-0.39%
1.968%
3.3bps
1.829% 3.03%
0 1/8% Index-linked Treasury Gilt 2026
TR26 - GB00BYY5F144
0.125% 2026-03-22 0-2Y 2015-07-16 £98.83
-0.04%
£0.010
(28 days)
1.57650 £155.821
-0.00%
2.959%
15.2bps
2.933% 0.73%
0 1/8% Index-linked Treasury Gilt 2051
TG51 - GB00BNNGP882
0.125% 2051-03-22 20-30Y 2021-02-10 £59.72
-0.67%
£0.010
(28 days)
1.38424 £82.673
-0.64%
2.216%
2.8bps
2.182% 3.19%
1¼% Index-linked Treasury Gilt 2054
TG54 - GB00BPSNBG80
1.250% 2054-11-22 20-30Y 2024-03-14 £79.60
-0.65%
£0.513
(151 days)
1.07538 £86.152
-0.60%
2.216%
2.8bps
1.927% 3.19%
0¼% Index-linked Treasury Gilt 2052
TG52 - GB00B73ZYW09
0.250% 2052-03-22 20-30Y 2012-09-26 £61.03
-0.76%
£0.019
(28 days)
1.68196 £102.691
-0.72%
2.216%
3.1bps
2.149% 3.19%
0 1/8% Index-linked Treasury Gilt 2031
TR31 - GB00BNNGP551
0.125% 2031-08-10 5-7Y 2021-01-28 £95.62
-0.21%
£0.024
(71 days)
1.38663 £132.623
-0.17%
0.903%
3.7bps
0.877% 3.22%
0 5/8% Index-linked Treasury Gilt 2042
T42A - GB00B3MYD345
0.625% 2042-11-22 15-20Y 2009-07-24 £79.44
-0.60%
£0.256
(151 days)
1.91618 £152.713
-0.56%
2.068%
3.9bps
1.925% 3.10%
1¼% Index-linked Treasury Gilt 2027
T27 - GB00B128DH60
1.250% 2027-11-22 2-5Y 2006-04-26 £101.58
-0.12%
£0.513
(151 days)
2.09783 £214.174
-0.07%
0.490%
5.4bps
0.242% 3.27%
0 1/8% Index-linked Treasury Gilt 2029
T29 - GB00B3Y1JG82
0.125% 2029-03-22 2-5Y 2011-11-23 £98.08
-0.15%
£0.010
(28 days)
1.71476 £168.200
-0.12%
0.695%
4.6bps
0.670% 3.18%
0 1/8% Index-linked Treasury Gilt 2065
TR65 - GB00BD9MZZ71
0.125% 2065-11-22 30Y+ 2016-02-24 £48.67
-1.18%
£0.051
(151 days)
1.56323 £76.170
-1.14%
1.998%
3.2bps
1.961% 3.20%
0 1/8% Index-linked Treasury Gilt 2028
T28 - GB00BZ1NTB69
0.125% 2028-08-10 2-5Y 2018-06-21 £98.95
-0.13%
£0.024
(71 days)
1.45799 £144.303
-0.09%
0.503%
4.8bps
0.478% 3.31%
4 1/8% Index-linked Treasury Stock 2030
T30I - GB0008932666
4.125% 2030-07-22 2-5Y 1992-06-12 £342.22
-0.23%
£1.009
(90 days)
2.91636 £343.229
-0.22%
0.566%
5.2bps
-0.190% 3.44%
1 7/8% Index-linked Treasury Gilt 2049
TR49 - GB00BT7J0134
1.875% 2049-09-22 20-30Y 2025-03-12 £93.80
-0.68%
£0.145
(28 days)
1.03868 £97.574
-0.63%
2.223%
3.7bps
1.829% 3.17%
0 1/8% Index-linked Treasury Gilt 2046
TR46 - GB00BYMWG366
0.125% 2046-03-22 20-30Y 2015-06-24 £65.99
-0.74%
£0.010
(28 days)
1.57927 £104.231
-0.70%
2.214%
3.8bps
2.183% 3.10%
0 1/8% Index-linked Treasury Gilt 2073
TG73 - GB00BM8Z2W66
0.125% 2073-03-22 30Y+ 2021-11-24 £51.95
-1.40%
£0.010
(28 days)
1.32044 £68.603
-1.37%
1.570%
3.2bps
1.534% 3.42%
1¼% Index-linked Treasury Gilt 2032
T32 - GB00B3D4VD98
1.250% 2032-11-22 7-10Y 2008-10-29 £100.82
-0.26%
£0.513
(151 days)
1.87498 £189.997
-0.21%
1.132%
3.8bps
0.882% 3.14%
0¾% Index-linked Treasury Gilt 2033
T33 - GB00BMF9LJ15
0.750% 2033-11-22 7-10Y 2023-06-28 £95.85
-0.41%
£0.308
(151 days)
1.09370 £105.168
-0.36%
1.296%
5.3bps
1.142% 3.09%
0 1/8% Index-Linked Treasury Gilt 2056
TR56 - GB00BYVP4K94
0.125% 2056-11-22 30Y+ 2016-11-30 £54.71
-0.88%
£0.051
(151 days)
1.53698 £84.167
-0.84%
2.133%
3.0bps
2.098% 3.25%
1¾% Index-linked Treasury Gilt 2038
T38 - GB00BMY62Z61
1.750% 2038-09-22 10-15Y 2025-06-11 £98.70
-0.47%
£0.135
(28 days)
1.02394 £101.207
-0.42%
1.872%
4.2bps
1.516% 3.00%
0½% Index-linked Treasury Gilt 2050
TR50 - GB00B421JZ66
0.500% 2050-03-22 20-30Y 2009-09-25 £67.69
-0.73%
£0.039
(28 days)
1.90778 £129.211
-0.69%
2.234%
3.4bps
2.109% 3.16%
0 1/8% Index-linked Treasury Gilt 2041
T41 - GB00BGDYHF49
0.125% 2041-08-10 15-20Y 2018-07-12 £74.75
-0.60%
£0.024
(71 days)
1.45371 £108.693
-0.56%
2.005%
4.0bps
1.976% 3.09%
0 1/8% Index-linked Treasury Gilt 2044
T44 - GB00B7RN0G65
0.125% 2044-03-22 15-20Y 2012-07-25 £69.27
-0.62%
£0.010
(28 days)
1.67938 £116.347
-0.58%
2.167%
3.6bps
2.136% 3.07%
0¾% Index-linked Treasury Gilt 2047
T47 - GB00B24FFM16
0.750% 2047-11-22 20-30Y 2007-11-21 £75.05
-0.73%
£0.308
(151 days)
1.95950 £147.664
-0.68%
2.191%
3.8bps
2.013% 3.17%
0 1/8% Index-linked Treasury Gilt 2058
T58 - GB00BP9DLZ64
0.125% 2058-03-22 30Y+ 2014-07-30 £53.70
-0.84%
£0.010
(28 days)
1.59101 £85.461
-0.80%
2.113%
2.8bps
2.077% 3.25%