January 2017

 

Issue Code

Maturity Date

Coupon Rate

Yield

Price

N710100Z

1-Apr-17

2.38%

0.85

100.25

N215100F

1-Oct-17

1.38%

0.89

100.32

N513100T

1-Apr-18

0.50%

1.04

99.38

NY03100A

1-Sep-18

4.00%

1.13

104.48

NX09100W

1-Jun-19

2.50%

1.29

102.76

N514100H

1-Oct-19

1.63%

1.34

100.73

N515100S

1-Jul-20

2.00%

1.54

101.54

NY05100N

1-Sep-20

3.25%

1.57

105.82

NX11100X

1-Jun-21

2.25%

1.74

102.11

N516100Z

1-Oct-21

1.25%

1.73

97.85

NY07100X

1-Sep-22

3.13%

1.93

106.28

NX13100H

1-Jul-23

2.75%

2.07

104.05

NY09100H

1-Sep-24

3.00%

2.19

105.64

NX15100Z

1-Jun-25

2.38%

2.26

100.90

NX16100F

1-Jun-26

2.13%

2.30

98.53

NZ07100S

1-Mar-27

3.50%

2.39

109.85

NY14100E

1-Jul-29

2.88%

2.53

103.65

NZ10100F

1-Sep-30

2.88%

2.59

103.21

NZ13100V

1-Sep-33

3.38%

2.67

109.38

NZ16100X

1-Aug-36

2.25%

2.68

93.52

NA12100N

1-Apr-42

2.75%

2.69

101.04

NA16100H

1-Mar-46

2.75%

2.70

101.04