Results of 26-01-2026 auction (EU-Bonds)

_European Commission News


ISIN EU000A4EG021 EU000A4D8KD2 EU000A4EJF17 Competitive auction 26/01/2026 26/01/2026 26/01/2026 Settlement competitive auction 28/01/2026 28/01/2026 28/01/2026 Non-competitive auction 27/01/2026 27/01/2026 27/01/2026 Settlement non-competitive auction 29/01/2026 29/01/2026 29/01/2026 Maturity 14/10/2030 12/12/2035 12/12/2040 Volume bids * 2 956 3 735 2 289 Volume allotment * 2 310 2 400 1 711 Non-competitive allocation * – – – Old outstanding amount * 10 000 16 880 6 000 New outstanding amount * 12 310 19 280 7 711 Weighted average price 99.611% 101.709% 99.767% Lowest accepted price 99.590% 101.680% 99.730% % awarded at lowest accepted price 100.00% 28.64% 100.00% Weighted average yield 2.586% 3.170% 3.643% Cover ratio 1.28 1.56 1.34



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