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Results of 19-05-2025 auction (EU-Bonds)

Auction results EU-Bonds
ISIN EU000A3K4EN5 EU000A3L1DJ0 EU000A3K4D41 Date of auction 19/05/2025 19/05/2025 19/05/2025 Settlement date 21/05/2025 21/05/2025 21/04/2025 Maturity 05/12/2028 04/12/2031 04/07/2034 Volume bids * 3 334 2 914 1 596 Volume allotment * 2 300 1 663 1 190 Old outstanding amount * 14 570 15 000 17 151 New outstanding amount * 16 870 16 663 18 341 Weighted average price 102.744% 98.639% 101.907% Lowest accepted price 102.730% 98.610% 101.890% % awarded at lowest accepted price 56.22% 100.00% 100.00% Weighted average yield 2.307% 2.729% 3.007% Cover ratio 1.45 1.75 1.34

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