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Results of 18-06-2025 auction (EU-Bills)

Auction results EU-Bills.
ISIN EU000A4D7LA8 EU000A4EB329 EU000A4EB337 Date of auction 18/06/2025 18/06/2025 18/06/2025 Settlement date 20/06/2025 20/06/2025 20/06/2025 Maturity 05/09/2025 05/12/2025 05/06/2026 Volume bids * 1228 1304 1570 Volume allotment * 853 862 914 Old outstanding amount * 3356 1248 1217 New outstanding amount * 4209 2110 2131 Weighted average yield 1.935% 1.956% 1.951% Highest accepted yield 1.950% 1.970% 1.960% % awarded at highest accepted yield 100.00% 100.00% 100.00% Cover ratio 1.44 1.51 1.72

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