We use necessary cookies to make our site work (for example, to manage your session). We’d also like to use some non-essential cookies (including third-party cookies) to help us improve the site. By clicking ‘Accept recommended settings’ on this banner, you accept our use of optional cookies.
Necessary cookies
Analytics cookies
Yes
Yes
Yes
No
Necessary cookies
Necessary cookies enable core functionality on our website such as security, network management, and accessibility. You may disable these by changing your browser settings, but this may affect how the website functions.
Analytics cookies
We use analytics cookies so we can keep track of the number of visitors to various parts of the site and understand how our website is used. For more information on how these cookies work please see our Cookie policy.
Index-linked treasury stocks are gilts issued by the UK Government. They pay out twice a year, with the amount indexed to the Retail Prices Index.
Published on
18 September 2019
2½% Index Linked Treasury Stock 2020
In accordance with the terms of the prospectus dated 12 October 1983, the rate of interest payable on the above stock for the interest payment due on 16 April 2020 will be £4.3948 per £100 nominal of stock. The amount due on repayment, also on 16 April 2020, will be £351.5907 per £100 nominal of stock.