March 5, 2020 / 10:30 AM / a month ago

Spagna colloca complessivi 5 mld euro in titoli stato 2023, 2025, 2030 e 2033

    MADRID, 5 marzo (Reuters) - Spain's Treasury announced the
following results at Thursday's bond auction         where it
sold 4.98 billion euros ($5.56 billion) of bonds.   
   
    Following are the details of the sale in millions of euros: 
 Inflation-linked       LATEST              PREVIOUS
 Nov.30, 2033 bond                          
 AUCTION DATE           March 5, 2020       Jan. 9, 2020
 ISSUE MATURITY         Nov. 30, 2033       Nov. 30, 2033
 COUPON (%)             0.70                0.70
 HIGHEST YIELD (%)      -0.605              -0.434
 AVERAGE YIELD (%)      -0.621              -0.439
 AVERAGE PRICE          118.997             116.344
 TOTAL BIDS (MLN)       665                 1,459
 ALLOTTED (MLN)         450                 885
 BID/COVER RATIO        1.5                 1.6
 
    
 April 30, 2023 bond    LATEST              PREVIOUS
 AUCTION DATE           March 5, 2020       Feb. 6, 2020
 ISSUE MATURITY         April 30, 2023      April 30, 2023
 COUPON (%)             0.00                0.00
 HIGHEST YIELD (%)      -0.397              -0.290
 AVERAGE YIELD (%)      -0.416              -0.301
 AVERAGE PRICE          101.320             100.977
 TOTAL BIDS (MLN)       3,145               4,700
 ALLOTTED (MLN)         1,470               1,600
 BID/COVER RATIO        2.1                 2.9
 
  
 Jan.31, 2025 bond      LATEST              PREVIOUS
 AUCTION DATE           March 5, 2020       Feb. 20, 2020
 ISSUE MATURITY         Jan. 31, 2025       Jan. 31, 2025
 COUPON (%)             0.00                0.00
 HIGHEST YIELD (%)      -0.243              -0.205
 AVERAGE YIELD (%)      -0.260              -0.220
 AVERAGE PRICE          101.287             101.096
 TOTAL BIDS (MLN)       2,455               4,975
 ALLOTTED (MLN)         1,350               3,165
 BID/COVER RATIO        1.8                 1.6
  
    
    
 April 30, 2030 bond    LATEST              PREVIOUS
 AUCTION DATE           March 5, 2020       Feb. 20, 2020
 ISSUE MATURITY         April 30, 2030      April 30, 2030
 COUPON (%)             0.50                0.50
 HIGHEST YIELD (%)      0.182               0.241
 AVERAGE YIELD (%)      0.169               0.235
 AVERAGE PRICE          103,320             102.653
 TOTAL BIDS (MLN)       2,356               3,158
 ALLOTTED (MLN)         1,711               1,388
 BID/COVER RATIO        1.4                 2.3
 

($1 = 0.8954 euros)





 

  
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