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, Nov 27 17:24
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, Nov 27 22:24
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, Nov 28 07:24
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Government Bonds
U.K. GOVERNMENT BONDS
COUPON
MATURITY
DATE
CURRENT
PRICE/YIELD
PRICE/YIELD
CHANGE
TIME
3-Month
0.000
02/22/2010
99.89 / .48
0.002
/
.009
13:19
6-Month
0.000
05/24/2010
99.75 / .51
0.001
/
.006
11:00
1-Year
6.250
11/25/2010
105.46 / .68
-0.092
/
.045
13:19
2-Year
3.250
12/07/2011
104.08 / 1.20
-0.072
/
.027
13:19
3-Year
5.250
06/07/2012
108.9 / 1.63
-0.088
/
.023
13:19
4-Year
4.500
03/07/2013
107.69 / 2.05
-0.09
/
.022
13:19
5-Year
5.000
09/07/2014
110.66 / 2.61
-0.143
/
.026
13:19
6-Year
4.750
09/07/2015
110.1 / 2.84
-0.13
/
.021
13:19
7-Year
4.000
09/07/2016
105.79 / 3.05
-0.109
/
.016
13:19
8-Year
8.750
08/25/2017
137.98 / 3.17
-0.167
/
.016
13:19
9-Year
5.000
03/07/2018
112.17 / 3.31
-0.102
/
.012
13:19
10-Year
4.500
03/07/2019
107.48 / 3.55
-0.13
/
.015
13:19
15-Year
5.000
03/07/2025
110.54 / 4.07
-0.39
/
.032
13:19
20-Year
4.750
12/07/2030
108.52 / 4.14
-0.464
/
.031
13:19
30-Year
4.750
12/07/2038
110.66 / 4.12
-0.515
/
.028
13:19
BANK OF ENGLAND INTEREST RATES
CURRENT VALUE:
0.5
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Unless indicated otherwise: intraday data is at least 15 minutes delayed; mutual fund NAVs are updated at the close of every market day; all prices are in the local currency; Time is ET.