| ISIN |
EU000A4EB337 |
EU000A4EF4A1 |
EU000A4EQY98 |
| Date of auction |
18/03/2026 |
18/03/2026 |
18/03/2026 |
| Settlement date |
20/03/2026 |
20/03/2026 |
20/03/2026 |
| Maturity |
05/06/2026 |
04/09/2026 |
05/03/2027 |
| Volume bids * |
1 321 |
1 302 |
1 623 |
| Volume allotment * |
841 |
823 |
1 405 |
| Old outstanding amount * |
3 868 |
2 697 |
1 362 |
| New outstanding amount * |
4 709 |
3 520 |
2 767 |
| Weighted average yield |
2.009% |
2.148% |
2.311% |
| Highest accepted yield |
2.015% |
2.155% |
2.320% |
| % awarded at highest accepted yield |
100.00% |
100.00% |
100.00% |
| Cover ratio |
1.57 |
1.58 |
1.16 |
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