90央債甲五

日期債券代號殖利率百元價票面利率計息次數/年到期日最近成交日
2018/08/20A90105 1.0947%130.31833.6250%12031/07/172018/06/26
90中央建設公債甲五
債券代碼A90105 債券簡稱90央債甲五
發行總額40000000000發行幣別TWD
債券類別中央建設公債票面利率%3.6250
息票別息票利率型態固定
免稅債券免稅計息方式單利計息1次 / 年
到期日2031/07/17發行日2001/07/17
結束交易日2031/07/17開始交易日2001/07/17
發行面額10萬
還本述敘到期一次還本

買賣斷殖利率走勢圖(營業處所)

最近成交日平均殖利率%平均百元價最高殖利率最低殖利率殖利率差額%存續期間(年)成交金額(元)
2018/06/261.0947130.63001.09501.09450.000010.59500,000,000
2018/06/201.0947130.66561.09501.0945-0.006310.60600,000,000
2018/06/131.1010130.61751.10101.1010-0.129310.62300,000,000
2018/03/161.2303129.28501.23051.23000.000110.83900,000,000
2018/03/141.2302129.29751.23051.23000.150710.83400,000,000
2018/01/031.0795131.88851.08001.0790-0.020511.061,100,000,000
2017/12/281.1000131.62161.10001.1000-0.001011.07400,000,000
2017/12/271.1010131.61281.10101.1010-0.072011.07400,000,000
2017/12/061.1730130.67551.17351.1725-0.067111.11700,000,000
2017/11/161.2401129.80521.24051.2395-0.035411.15600,000,000
次數日期還本金額總付息金額
12002-07-170363
22003-07-170363
32004-07-170363
42005-07-170363
52006-07-170363
62007-07-170363
72008-07-170363
82009-07-170363
92010-07-170363
102011-07-170363
112012-07-170363
122013-07-170363
132014-07-170363
142015-07-170363
152016-07-170363
162017-07-170363
172018-07-170363
182019-07-170363
192020-07-170363
202021-07-170363
212022-07-170363
222023-07-170363
232024-07-170363
242025-07-170363
252026-07-170363
262027-07-170363
272028-07-170363
282029-07-170363
292030-07-170363
302031-07-170363
312031-07-1710,0000
資訊來源:證券櫃檯買賣中心