May 7, 2020 / 9:53 AM / in 23 days

Spagna colloca complessivi 7,11 mld euro in 5 titoli

    7 maggio (Reuters) - Spain's Treasury announced the following results at
Thursday's bond auction where it sold 7.11 billion euros of bonds.
    Following are the details of the sale in millions of euros:
    
  
 Inflation linked Nov 23, 2033 bond  LATEST        PREVIOUS
 AUCTION DATE                        May 7, 2020   March 5, 2020
 ISSUE MATURITY                      Nov 30, 2033  Nov. 30, 2033
 COUPON (%)                          0.70          0.70
 HIGHEST YIELD (%)                   0.411         -0.605
 AVERAGE YIELD (%)                   0.380         -0.621
 AVERAGE PRICE                       104.212       118.997
 TOTAL BIDS (MLN)                    1,041         665
 ALLOTTED (MLN)                      678           450
 BID/COVER RATIO                     1.54          1.5
 April 30, 2023 bond             LATEST          PREVIOUS
 AUCTION DATE                    May 7, 2020     April 16, 2020
 ISSUE MATURITY                  April 30, 2023  April 30, 2023
 COUPON (%)                      0.00            0.00
 HIGHEST YIELD (%)               0.050           0.282
 AVERAGE YIELD (%)               0.036           0.266
 AVERAGE PRICE                   99.892          99.196
 TOTAL BIDS (MLN)                3,876           4,594
 ALLOTTED (MLN)                  1,396           1,968
 BID/COVER RATIO                 2.78            2.34
  
 Jan. 31, 2025 bond                LATEST          PREVIOUS
 AUCTION DATE                      May 7, 2020     April 16, 2020
 ISSUE MATURITY                    Jan. 31, 2025   Jan. 31, 2025
 COUPON (%)                        0.00            0.00
 HIGHEST YIELD (%)                 0.283           0.419
 AVERAGE YIELD (%)                 0.254           0.411
 AVERAGE PRICE                     98.806          98.058
 TOTAL BIDS (MLN)                  2,725           2,803
 ALLOTTED (MLN)                    1,485           1,193
 BID/COVER RATIO                   1.84            2.35
 July 30, 2027 bond              LATEST           PREVIOUS
 AUCTION DATE                    May 7, 2020      March 19, 2020
 ISSUE MATURITY                  July 30, 2027    April 30, 2027
 COUPON (%)                      0.80             1.50
 HIGHEST YIELD (%)               0.633            0.535
 AVERAGE YIELD (%)               0.620            0.473
 AVERAGE PRICE                   101.262          107.150
 TOTAL BIDS (MLN)                2,555            3,225
 ALLOTTED (MLN)                  1,800            1,670
 BID/COVER RATIO                 1.42             1.93
  
 Oct. 31, 2050 bond              LATEST            PREVIOUS
 AUCTION DATE                    May 7, 2020       April 2, 2020
 ISSUE MATURITY                  October 31, 2050  October 31, 2050
 COUPON (%)                      1.00              1.00
 HIGHEST YIELD (%)               1.686             1.583
 AVERAGE YIELD (%)               1.673             1.565
 AVERAGE PRICE                   84.024            86.353
 TOTAL BIDS (MLN)                2,050             1,544
 ALLOTTED (MLN)                  1,755             1,323
 BID/COVER RATIO                 1.17              1.17
    
    
    

  
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