Find

Bond prices & Yields > UK Gilts

Gilts are UK Government bonds, the benchmarks for the sterling fixed income markets, For ease of reference the tables are divided into Gilts (conventional) and Index Linked Gilts.

Please note, the UK Government can issue “double dated gilts” which they can choose to redeem in whole or in part, at any time between the first and final maturity date.

e.g.. ISIN GB0003252318 12% Exchequer Stock 2013-2017.  Only the final maturity date is shown below in the “Maturity” column.

Yields shown for Gilts are redemption yields. Please note that this calculation may be adversely affected by calls and other features.

Please see separate table for Index Linked Gilts.

NB: Click on column headers to sort instruments by coupon, life, price and yield.


CyUpdatedIssuerISINCpnMaturityLifePriceYield
GBP 15 Oct 2019 UK Gilt Treasury 0.5% 2022 GB00BD0PCK97 0.5 22 Jul 2022 2 yrs 9 mths 100.061 0.478
GBP 15 Oct 2019 UK Gilt Treasury 1.5% 2021 GB00BYY5F581 1.5 22 Jan 2021 1 yr 3 mths 101.11 -nan
GBP 15 Oct 2019 UK Gilt Treasury 1.5% 2026 GB00BYZW3G56 1.5 22 Jun 2026 6 yrs 8 mths 106.828 0.473
GBP 15 Oct 2019 UK Gilt Treasury 1.75% 2022 GB00B7L9SL19 1.75 9 Jul 2022 2 yrs 9 mths 103.636 0.483
GBP 15 Oct 2019 UK Gilt Treasury 2.0% 2025 GB00BTHH2R79 2.0 7 Sep 2025 5 yrs 11 mths 109.117 0.431
GBP 15 Oct 2019 UK Gilt Treasury 2.25% 2023 GB00B7Z53659 2.25 7 Sep 2023 3 yrs 11 mths 107.01 0.432
GBP 15 Oct 2019 UK Gilt Treasury 2.75% 2024 GB00BHBFH458 2.75 7 Sep 2024 4 yrs 11 mths 111.016 0.47
GBP 15 Oct 2019 UK Gilt Treasury 2.75% 2065 GB00BYYMZX75 2.75 22 Jul 2065 45 yrs 9 mths 152.865 1.044
GBP 15 Oct 2019 UK Gilt Treasury 3.5% 2068 GB00BBJNQY21 3.5 22 Jul 2068 48 yrs 9 mths 193.384 1.049
GBP 15 Oct 2019 UK Gilt Treasury 3.5% 2045 GB00BN65R313 3.5 22 Jan 2045 25 yrs 3 mths 151.498 1.146
GBP 15 Oct 2019 UK Gilt Treasury 3.75% 2021 GB00B4RMG977 3.75 7 Sep 2021 1 yr 11 mths 106.071 0.522
GBP 15 Oct 2019 UK Gilt Treasury 3.75% 2020 GB00B582JV65 3.75 7 Sep 2020 11 mths 102.755 0.65
GBP 15 Oct 2019 UK Gilt Treasury Stk GB00B3KJDQ49 4.0 7 Mar 2022 2 yrs 5 mths 108.373 0.477
GBP 15 Oct 2019 UK Gilt Treasury Stk GB00B54QLM75 4.0 22 Jan 2060 40 yrs 3 mths 196.625 1.051
GBP 15 Oct 2019 UK Gilt Treasury 4.25% 2040 GB00B6460505 4.25 7 Dec 2040 21 yrs 2 mths 159.493 1.091
GBP 15 Oct 2019 UK Gilt Treasury 4.25% 2049 GB00B39R3707 4.25 7 Dec 2049 30 yrs 2 mths 179.203 1.138
GBP 15 Oct 2019 UK Gilt Treasury 4.25% 2039 GB00B3KJDS62 4.25 7 Sep 2039 19 yrs 11 mths 157.058 1.061
GBP 15 Oct 2019 UK Gilt Treasury Stk GB00B06YGN05 4.25 7 Dec 2055 36 yrs 2 mths 194.696 1.079
GBP 15 Oct 2019 UK Gilt Treasury Stk GB00B16NNR78 4.25 7 Dec 2027 8 yrs 2 mths 129.801 0.509
GBP 15 Oct 2019 UK Gilt Treasury Stk GB0004893086 4.25 7 Jun 2032 12 yrs 8 mths 141.438 0.798
GBP 15 Oct 2019 UK Gilt Treasury Stk GB0032452392 4.25 7 Mar 2036 16 yrs 5 mths 149.631 0.968
GBP 15 Oct 2019 UK Gilt Treasury Stk GB00B128DP45 4.25 7 Dec 2046 27 yrs 2 mths 172.257 1.145
GBP 15 Oct 2019 UK Gilt Treasury 4.5% 2034 GB00B52WS153 4.5 7 Sep 2034 14 yrs 11 mths 150.124 0.897
GBP 15 Oct 2019 UK Gilt Treasury Stk GB00B1VWPJ53 4.5 7 Dec 2042 23 yrs 2 mths 168.878 1.115
GBP 15 Oct 2019 UK Gilt Treasury Stk GB00B24FF097 4.75 7 Dec 2030 11 yrs 2 mths 143.485 0.689
GBP 15 Oct 2019 UK Gilt Treasury 4.75% 2020 GB00B058DQ55 4.75 7 Mar 2020 5 mths 101.567 0.746
GBP 15 Oct 2019 UK Gilt Treasury Stk GB00B00NY175 4.75 7 Dec 2038 19 yrs 2 mths 164.577 1.026
GBP 15 Oct 2019 UK Gilt Treasury Stk GB0030880693 5.0 7 Mar 2025 5 yrs 5 mths 124.022 0.482
GBP 15 Oct 2019 UK Gilt Treasury Stk GB0002404191 6.0 7 Dec 2028 9 yrs 2 mths 148.271 0.573
GBP 15 Oct 2019 UK Gilt Treasury 8.0% 2021 GB0009997999 8.0 7 Jun 2021 1 yr 8 mths 112.18 0.539