BERLIN, Feb 13 (Reuters) - The Swiss Federal Treasury issued the following information on its latest government bond issue on Wednesday: Coupon (pct) 0.5 Maturity date 27 June 2032 Auction date 13 Feb 2019 Allotted (mln Sfr) 136.650 Retained (mln Sfr) 0 Issue price (pct) 107.25 Yield (pct) -0.042 Allotment at issue price (pct) 100 Bid/Cover ratio 1.7 Total bids received (mln Sfr) 236.850 (Reporting by Berlin Speed Desk)