19 Oct – 23 Oct 2015

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AUSTRALIAN SEMI GOVT BONDS-FLOATING RATE NOTES

 MATURITYISSUE
SIZE ($m)
TRADING
MARGIN (bps)
COUPON
MARGIN (bps)
NEXT
PAYMENT DATE
RESET
RATE
SWAP
RATE
  
NSWTC8-Apr-162500.00-2.008.008/01/20162.152.05
SAFA20-May-162000.002.0020.0022/11/20152.222.01
WATC25-Jun-161970.004.003.0029/12/20152.162.00
QTC19-Sep-162575.000.008.0021/12/20152.171.95
QTC6-Mar-172380.002.009.007/12/20152.191.90
WATC27-Mar-171204.005.008.0029/12/20152.161.90
WATC12-Dec-17650.008.0012.0014/12/20152.181.92
WATC21-May-181480.009.9911.0023/11/20152.221.97
NSWTC20-Sep-181250.00-2.003.0021/12/20152.172.00
QTC19-Nov-18850.005.006.0019/11/20152.232.02
SAFA10-Dec-182000.006.007.5010/12/20152.192.03
WATC19-Nov-191499.0012.0021.0019/11/20152.232.25
SAFA24-Feb-202000.008.0020.0024/11/20152.212.28
NSWTC8-Oct-201900.00-1.000.008/01/20162.152.36

FRNs pay quarterly interest with the rate reset each quarterly payment date.

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