September 5, 2019 / 9:48 AM / a month ago

Spagna colloca Bonos 2024, 2029 e 2066 per 3,537 mld, indicizzato 2030 per 500 mln

    MILANO, 5 settembre (Reuters) - Sept 5 - Spain's Treasury
announced the following results at
Thursday's bond auction         where it sold 4 billion euros
($4.41 billion) of bonds.   
   
    Following are the details of the sale in millions of euros: 
 July 30, 2024 bond     LATEST              PREVIOUS
 AUCTION DATE           Sep. 5, 2019        August 1, 2019
 ISSUE MATURITY         July 30, 2024       July 30, 2024
 COUPON (PCT)           0.25                0.25
 HIGHEST YIELD (PCT)    -0.316              -0.237
 AVERAGE YIELD (PCT)    -0.331              -0.254
 AVERAGE PRICE          102.869             102.537
 TOTAL BIDS (MLN)       2,081               2,107
 ALLOTTED (MLN)         856                 1,402
 BID/COVER RATIO        2.4                 1.5
 
    
 Oct. 31, 2029 bond     LATEST              PREVIOUS
 AUCTION DATE           Sep. 5, 2019        August 1, 2019
 ISSUE MATURITY         Oct. 31, 2029       Oct. 31, 2029
 COUPON (PCT)           0.60                0.60
 HIGHEST YIELD (PCT)    0.190               0.307
 AVERAGE YIELD (PCT)    0.181               0.300
 AVERAGE PRICE          104.198             103.012
 TOTAL BIDS (MLN)       2,800               1,916
 ALLOTTED (MLN)         1,685               1,386
 BID/COVER RATIO        1.7                 1.4
 
  
 July 30, 2066 bond     LATEST              PREVIOUS
 AUCTION DATE           Sep. 5, 2019        Nov. 8, 2018
 ISSUE MATURITY         July 30, 2066       July 30, 2066
 COUPON (PCT)           3.45                3.45
 HIGHEST YIELD (PCT)    1.464               3.036
 AVERAGE YIELD (PCT)    1.447               3.030
 AVERAGE PRICE          167.832             110.492
 TOTAL BIDS (MLN)       1,221               1,899
 ALLOTTED (MLN)         996                 800
 BID/COVER RATIO        1.2                 2.4
  
    
 Nov. 30, 2030          LATEST              PREVIOUS
 inflation -linked                          
 bond                                       
 AUCTION DATE           Sep. 5, 2019        July 18, 2019
 ISSUE MATURITY         Nov. 30, 2030       July 30, 2030
 COUPON (PCT)           1.00                1.95
 HIGHEST YIELD (PCT)    -0.699              0.477
 AVERAGE YIELD (PCT)    -0.720              0.461
 AVERAGE PRICE          120.193             115.964
 TOTAL BIDS (MLN)       970                 2,414
 ALLOTTED (MLN)         500                 1,459
 BID/COVER RATIO        1.9                 1.7
 

  
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