Issue result for Confederation bonds

Bern, 09.01.2019 - 0.50%, maturity 27.05.2030, amount CHF 141.575 million, (0 million own tranche), issue price 106.15%, yield p.a. -0.041% and 0.50%, maturity 28.06.2045, amount CHF 129.650 million, (0 million own tranche), issue price 102.75%, yield p.a. 0.390%

Interest rate: 0.50%
Maturity: 27.05.2030
Amount: CHF 141.575 million (0 million own tranche)
Issue price: 106.15%
Yield p.a.: -0.041%
Total bids: CHF 278.575 million
Allotment in last price category: 100.00%
Offers without price details: CHF 13.100 million
Settlement: 23.01.2019
ISIN no. (until settlement): CH0440081294
Fungible with ISIN no.: CH0224397171

Interest rate: 0.50%
Maturity: 28.06.2045
Amount: CHF 129.650 million (0 million own tranche)
Issue price: 102.75%
Yield p.a.: 0.390%
Total bids: CHF 157.150 million
Allotment in last price category: 100.00%
Offers without price details: CHF 17.100 million
Settlement: 23.01.2019
ISIN no. (until settlement): CH0440081302
Fungible with ISIN no.: CH0344958498


Reuters: SWIW, Bloomberg: SWIT 


Address for enquiries

Philipp Rohr, Communications Officer, Federal Finance Administration, tel. +41 58 465 16 06, philipp.rohr@efv.admin.ch


Publisher

Federal Finance Administration
http://www.efv.admin.ch

Last modification 03.10.2018

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