IHTM27244 - Specific British Government Securities: securities still subject to the domicile test

The terms “loan” and “Stock” are interchangeable.

  • 8½% Treasury Loan 1984 - 86, Repaid at par 10 July 1986
  • 6½% Funding Loan 1985 - 87, Repaid at par 1 May 1987
  • 7¾% Treasury Loan 1985 - 88, Repaid at par 26 January 1988
  • 13% Treasury Stock 1990, Repaid at par 15 January 1990
  • 8¼% Treasury Loan 1987 - 90, Repaid at par 15 June 1990
  • 11% Exchequer Loan 1990, Repaid at par 12 February 1990
  • 8% Treasury Convertible Stock 1990, Repaid at par 16 July 1990
  • 10% Treasury Convertible Stock 1991, Repaid at par 12 July 1991
  • 5¾% Funding Loan 1987 - 91, Repaid at par 5 April 1991
  • 2% Index-Linked Treasury Stock 1992, Repaid 23 March 1992
  • 8% Treasury Loan 1992, Repaid at par 13 April 1992
  • 10½% Treasury Convertible Loan Stock 1992, Repaid at par 7 May 1992
  • 12¾% Treasury Loan 1992, Repaid at par 22 January 1992
  • 10% Treasury Loan 1993, Repaid at par 15 April 1993
  • 6% Funding Loan 1993, Repaid at par 15 September 1993
  • 12½% Treasury loan 1993, Repaid at par 14 July 1993
  • 13¾% Treasury Loan 1993, Repaid at par 23 November 1993
  • 9% Treasury Loan 1994, Repaid at par 17 November 1994
  • 10% Treasury Loan 1994, Repaid at par 9 June 1994
  • 14½% Treasury Loan 1994, Repaid at par 1 March 1994
  • 12¾% Treasury Loan 1995, Repaid at par 15 November 1995
  • 9% Treasury Loan 1992 - 96, Repaid at par 28 January 1993
  • 13¼% Exchequer Loan 1996, To be repaid at par 15 May 1996
  • 15¼% Treasury Loan 1996, To be repaid at par 3 May 1996
  • 7% Treasury Convertible Loan 1997, To be repaid at par 6 August 1997
  • 8¾% Treasury Loan 1997, To be repaid at par 1 September 1997
  • 13¼% Treasury Loan 1997, To be repaid at par 22 January 1997
  • 6¾% Treasury Loan 1995 - 98, To be repaid at par by 1 May 1998
  • 45/8 % Index-Linked Treasury Stock 1998, To be repaid by 27 April 1998
  • 7¼% Treasury Stock 1998, To be repaid at par 30 March 1998
  • 15½% Treasury Loan 1998, To be repaid at par 30 September 1998
  • 9½% Treasury Loan 1999, To be repaid at par 15 January 1999
  • 6% Treasury stock 1999, To be repaid at par 10 August 1999
  • 8% Treasury Stock 2000, To be repaid at par 7 December 2000
  • 8½% Treasury Loan 2000, To be repaid at par 28 January 2000
  • 9% Conversion Stock 2000, To be repaid at par 3 March 2000
  • 9½% Conversion Loan 2001, To be repaid at par 12 July 2001
  • 7% Treasury Stock 2001, To be repaid at par 6 November 2001