6 luglio 2017 / 09:24 / tra 3 mesi

Spagna colloca 4,3 mld in titolo a medio-lungo termine

MADRID, July 6 (Reuters) - Spain's Treasury announced the
following results at Thursday's bond auction         where it
sold 4.3 billion euros ($4.9 billion) of bonds.   
   
Following are the details of the sale in millions of euros: 
 Inflation-linked Nov   LATEST              PREVIOUS
 30, 2030 bond                              
 AUCTION DATE           July 6, 2017        June 1, 2017
 ISSUE MATURITY         Nov 30, 2030        Nov 30, 2030
 COUPON (PCT)           1.0                 1.0
 HIGHEST YIELD (PCT)    0.880               0.852
 AVERAGE YIELD (PCT)    0.858               0.832
 AVERAGE PRICE          101.776             102.116
 TOTAL BIDS (MLN)       856                 1,631
 ALLOTTED (MLN)         656                 500
 BID/COVER RATIO        1.3                 3.3
 
  
 April 30, 2022 bond    LATEST              PREVIOUS
 AUCTION DATE           July 6, 2017        June 15, 2017
 ISSUE MATURITY         April 30, 2022      April 30, 2022 
 COUPON (PCT)           0.4                 0.4
 HIGHEST YIELD (PCT)    0.344               0.233
 AVERAGE YIELD (PCT)    0.337               0.215
 AVERAGE PRICE          100.293             100.884
 TOTAL BIDS (MLN)       3,631               2,564
 ALLOTTED (MLN)         1,604               1,821
 BID/COVER RATIO        2.3                 1.4
  
    
 July 30, 2040 bond     LATEST              PREVIOUS
 AUCTION DATE           July 6, 2017        June 16, 2016
 ISSUE MATURITY         July 30, 2040       July 30, 2040 
 COUPON (PCT)           4.9                 4.9
 HIGHEST YIELD (PCT)    2.653               2.537
 AVERAGE YIELD (PCT)    2.646               2.527
 AVERAGE PRICE          138.527             142.440
 TOTAL BIDS (MLN)       1,165               948
 ALLOTTED (MLN)         622                 540
 BID/COVER RATIO        1.9                 1.8
 
    
 Oct 31, 2046 bond      LATEST              PREVIOUS
 AUCTION DATE           July 6, 2017        April 20, 2017
 ISSUE MATURITY         Oct 31, 2046        Oct 31, 2046 
 COUPON (PCT)           2.9                 2.9
 HIGHEST YIELD (PCT)    2.912               2.968
 AVERAGE YIELD (PCT)    2.904               2.957
 AVERAGE PRICE          99.899              98.860
 TOTAL BIDS (MLN)       1,774               1,593
 ALLOTTED (MLN)         1,419               937
 BID/COVER RATIO        1.3                 1.7
 

($1 = 0.8813 euros)

 (Reporting by Paul Day; Editing by Jesus Aguado)
  

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