The London Stock Exchange uses cookies to improve its website. The cookies for analytical purposes have already been set. For more details and how to manage cookies, please see our privacy and cookies policy.


Revamped website coming soon

We're refreshing London Stock Exchange's website to give our users a better experience. The revamped website has a fresh look and feel, intuitive navigation and search as well as a clearer view of our key data and documents. Visitors to our website will be able to search for companies, compare different products and services and discover how the market has evolved over its history.

We look forward to introducing you to the revamped website soon.


Price (GBP) 290.28 Var % (+/-) +2.79% (Up +7.87)
High 290.89 Low 284.10
Volume - Last close 290.28 on 27-May-2020
Bid 284.28 Offer 296.28
Trading status Market Close Special conditions NONE
As at 28-May-2020 02:51:09 -  All data delayed by at least 15 minutes.
Prices displayed do not include any accrued interest payable.

Last five published trades
Time/date of execution Price Currency Volume Trade value* Trade type Trade flags MIC
13:22:04 26-May-2020 289.61 GBP 4,000 11,584.56 Off-book N XLON
13:13:13 26-May-2020 287.00 GBP 6,455 18,525.85 Off-book N XLON
12:52:37 26-May-2020 289.62 GBP 12,878 37,297.26 Off-book N XLON
15:44:25 22-May-2020 286.30 GBP 292 836.00 Off-book N XLON
13:35:48 22-May-2020 286.50 GBP 101,350 290,367.75 Off-book N XLON
* For instruments denominated in GBX, the Trade value is shown in GBP when the traded currency is GBX or GBP. When the traded price is any other currency then the trade value is displayed in that currency.
Some trades qualify for deferred publication, due to the type or size of the transaction. These will be displayed at the point of publication, but show the time/date of execution as with other trades displayed here.

Bond Information
Issue Date 23 Sep 2013
Maturity Date 22 Mar 2068
Coupon Value +0.125%
Coupon Type Variable
Coupon Frequency 6 months
Coupon Payment Date 22 Mar 2017
Coupon Ex Date 13 Mar 2017
Redemption Date 22 Mar 2068
Redemption Type single redemption date
Index Inflation Date 25 Sep 2013
Minimum Denomination 1.00
Denomination Currency GBP
Code Convention Calculate GILTS ACT/ACT
Unit Of Quotation 100
Type Gilt
Trading Service Order book for Retail Bonds
Market Main Market
Trading Hours Auction 7:50am - 8:00am, Continuous Trading 8:00am to 4:30pm
Settlement cycle T+1
Bond factsheet

Security Information
Trading segment UKGT
Market identifier code (MIC) XLON
Exchange market size 10,000
*The market capitalisation of the security reflects data from previous trading day.


0 1/8% IL TG 68 retail bond price (T68)