Name | ATB 2025-10-30 |
ISIN | AT0000A3KPE3 |
Auction date competitive / non-competitive | Tuesday, 22. April 2025 / Wednesday, 23. April 2025 |
Settlement date | Thursday, 24. April 2025 |
Redemption | Thursday, 30. October 2025 |
Issue amount |
1,000,000,000 € thereof competitive: 779,000,000 € thereof non-competitive: 0 € thereof quota of the Bund: 221,000,000 € |
Issue price/Cut-off price | 98.981% |
Issue yield/Cut-off yield | 1.960% |
Competitive bids | 1,403,000,000.00 € |
Bid-to-cover ratio | 1.80103 |
Percentage allotted at cut-off-price | 100.00000% |
Total amount outstanding | 1,000,000,000.00 € |