Fixed Income - Retail Bond Prices and Yields

EPIC Name Coupon Maturity
Date
Time To
Maturity
Price Yield To
Maturity
AA18 Barclays Bank 5.75% 14-Sep-2026 155 days £100.33 4.87%
A2D2 A2D Funding II 4.5% 30-Sep-2026 171 days £100.12 4.235%
LIV4 LendInvest Secured Income II 11.5% 03-Oct-2026 174 days £102.58 5.94%
84YJ London Power Networks 6.125% 07-Jun-2027 1 year 56 days £101.5 4.744%
LIV3 LendInvest Secured Income II 6.5% 08-Aug-2027 1 year 118 days £100.53 6.07%
ENQ2 EnQuest 9% 27-Oct-2027 1 year 198 days £101.5 7.944%
HT02 RCB Bonds
Hightown Housing Association
4% 31-Oct-2027 1 year 202 days £96.92 6.108%
IPF3 International Personal Finance 12% 12-Dec-2027 1 year 244 days £104.75 8.859%
47UV United Utilities Water Limited 5.625% 20-Dec-2027 1 year 252 days £101.9 4.42%
64XX Wessex Water Services Finance 5.375% 10-Mar-2028 1 year 333 days £100.5 5.088%
48LK Hammerson 7.25% 21-Apr-2028 2 years 10 days £103.83 5.208%
72NS British Telecommunications 5.75% 07-Dec-2028 2 years 240 days £102.25 4.815%
RMBI RCB Bonds
RMBI Care Co.
6.25% 07-Mar-2029 2 years 330 days £102.05 5.475%
41NW Severn Trent Utilities Finance 6.25% 07-Jun-2029 3 years 57 days £104.08 4.819%
40OS Tesco 6% 14-Dec-2029 3 years 247 days £104.25 4.705%
MCP3 RCB Bonds
Golden Lane Housing
3.25% 22-Jul-2031 5 years 102 days £85.55 6.527%
CAF2 RCB Bonds
Charities Aid Foundation
3.5% 08-Dec-2031 5 years 241 days £86.88 6.29%
71PP Legal & General Finance 5.875% 11-Dec-2031 5 years 244 days £104.28 4.997%
VO32 Vodafone Group 5.9% 26-Nov-2032 6 years 230 days £104.33 5.107%
92VF GE Capital UK Funding 5.875% 18-Jan-2033 6 years 283 days £103.97 5.161%
35LS HSBC Bank 5.375% 22-Aug-2033 7 years 134 days £100.83 5.231%
68OP Wessex Water Services Finance 5.75% 14-Oct-2033 7 years 187 days £98.95 5.92%
AG99 GlaxoSmithKline Capital 5.25% 19-Dec-2033 7 years 253 days £102.2 4.902%
52VE SEGRO 5.75% 20-Jun-2035 9 years 71 days £102.2 5.436%
96QO Lloyds Bank 6.5% 17-Sep-2040 14 years 162 days £106.6 5.808%

Retail Bonds

The table above lists all bonds (excluding gilts, for gilts see gilt yields page) that are part of London Stock Exchange's retail bond market, the Order Book for Retail Bonds (ORB). The table displays the current clean prices, maturity dates, coupon rates, and yields. The yield figures shown in the table is the Yield to Maturity (YTM). This is the expected annual rate of return of the bond if it is held until the maturity date. This yield figure takes into account all future coupon payments of the bond and the capital gain (or loss) in the capital repayment at maturity. Click on the symbol on each bond to see more details of the bond such as payment dates, accrued interest, and dirty price.