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Index linked gilts

Select group: Corporate bonds  |  Gilts  |  Index linked gilts  |  PIBS & others

Important Information: The website doesn't constitute a personal recommendation. If you have any doubts as to the suitability of an investment, please contact us for advice. The value of investments can fall as well as rise so you could get back less than you invest.

Coupon and final redemption payments for index linked gilts are not fixed, but will be determined by the RPI.

Issuer Coupon (%) Maturity Price Actions
Treasury 0.125% 22/03/2068
GBP | GB00BDX8CX86 | BDX8CX8
0.125 22 March 2068 50.880 View factsheet Deal now
Treasury 0.125% 2065
GBP | GB00BD9MZZ71 | BD9MZZ7
0.125 22 November 2065 51.630 View factsheet Deal now
Treasury 0.375% 22/03/2062
GBP | GB00B4PTCY75 | B4PTCY7
0.375 22 March 2062 59.855 View factsheet Deal now
Treasury 0.125% 22/03/2058
GBP | GB00BP9DLZ64 | BP9DLZ6
0.125 22 March 2058 56.110 View factsheet Deal now
Treasury 0.125% 22/11/2056
GBP | GB00BYVP4K94 | BYVP4K9
0.125 22 November 2056 57.040 View factsheet Deal now
Treasury 1.25% 22/11/2055
GBP | GB00B0CNHZ09 | B0CNHZ0
1.250 22 November 2055 82.095 View factsheet Deal now
Treasury 0.25% 22/03/2052
GBP | GB00B73ZYW09 | B73ZYW0
0.250 22 March 2052 63.250 View factsheet Deal now
Treasury 0.125% 22/03/2051
GBP | GB00BNNGP882 | BNNGP88
0.125 22 March 2051 61.740 View factsheet Deal now
Treasury 0.5% 22/03/2050
GBP | GB00B421JZ66 | B421JZ6
0.500 22 March 2050 69.820 View factsheet Deal now
Treasury 0.125% 10/08/2048
GBP | GB00BZ13DV40 | BZ13DV4
0.125 10 August 2048 65.150 View factsheet Deal now
Treasury 0.75% 22/11/2047
GBP | GB00B24FFM16 | B24FFM1
0.750 22 November 2047 77.215 View factsheet Deal now
Treasury 0.125% 22/03/2046
GBP | GB00BYMWG366 | BYMWG36
0.125 22 March 2046 68.120 View factsheet Deal now
Treasury 0.125% 22/03/2044
GBP | GB00B7RN0G65 | B7RN0G6
0.125 22 March 2044 71.260 View factsheet Deal now
Treasury 0.625% 22/11/2042
GBP | GB00B3MYD345 | B3MYD34
0.625 22 November 2042 81.325 View factsheet Deal now
Treasury 0.125% 10/08/2041
GBP | GB00BGDYHF49 | BGDYHF4
0.125 10 August 2041 76.685 View factsheet Deal now
Treasury 0.625% 22/03/2040
GBP | GB00B3LZBF68 | B3LZBF6
0.625 22 March 2040 84.990 View factsheet Deal now
Treasury 1.125% 22/11/2037
GBP | GB00B1L6W962 | B1L6W96
1.125 22 November 2037 94.660 View factsheet Deal now
Treasury 0.125% 22/11/2036
GBP | GB00BYZW3J87 | BYZW3J8
0.125 22 November 2036 86.155 View factsheet Deal now
Treasury 2% 26/01/2035
GBP | GB0031790826 | 3179082
2.000 26 January 2035 242.370 View factsheet Deal now
Treasury 0.75% 22/03/2034
GBP | GB00B46CGH68 | B46CGH6
0.750 22 March 2034 96.010 View factsheet Deal now
Treasury 1.25% 22/11/2032
GBP | GB00B3D4VD98 | B3D4VD9
1.250 22 November 2032 101.700 View factsheet Deal now
Treasury 4.125% 22/07/30
GBP | GB0008932666 | 0893266
4.125 22 July 2030 341.950 View factsheet Deal now
Treasury 0.125% 22/03/2029
GBP | GB00B3Y1JG82 | B3Y1JG8
0.125 22 March 2029 98.910 View factsheet Deal now
Treasury 0.125% 10/08/2028
GBP | GB00BZ1NTB69 | BZ1NTB6
0.125 10 August 2028 99.880 View factsheet Deal now
Treasury 1.25% 22/11/2027
GBP | GB00B128DH60 | B128DH6
1.250 22 November 2027 102.360 View factsheet Deal now
Treasury 0.125% 22/03/2026
GBP | GB00BYY5F144 | BYY5F14
0.125 22 March 2026 99.855 View factsheet Deal now

Data provided by NetBuilder

How to deal

Bonds may not be suitable for all investors and neither income nor capital is guaranteed. If you are unsure of their suitability please seek advice.

Over 150 of the most popular corporate bonds and gilts can be bought in a Vantage Account for just £5.95 to £11.95 per deal online. Bonds not covered by our online dealing service can be dealt from £20 per deal over the telephone (1% of the value of the trade, subject to a minimum of £20 and a maximum of £50) during market hours (Mon-Fri, 8:00am-4.30pm). The online share dealing charge is determined by the number of deals you placed in the previous calendar month. Find out more about dealing charges.

View list of online tradable bonds and gilts

More information about Vantage and how to open an account

The issuer commits to pay a rate of interest of "X" % per year. This coupon will generally be a fixed amount and is paid annually or semi-annually.
A date is set for the repayment of the money. This is known as the redemption date. The bonds will be redeemed at "par" or 100p in the pound (with some rare exceptions). However, if the issuer fails you might lose some or all of your investment and the income could stop.
Time remaining until maturity.