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Disclaimer: This data reflects the secondary market operations of the Ministry of Finance Bonds according to the data provided by CEVALDOM. The depicted yields correspond to the last price traded and when there are several prices registered the same day it applies a weighted average. The yield is calculated using the formula in Annex 2 of the Public Action Regulation for the allocation of public debt securities. These operations are updated daily. From december 14, 2009, the registry methodology of the published operations will not include spot trades asociated with a forward and viceversa which are indicated by CEVALDOM.

 

 

 
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