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Results of 25-08-2025 auction (EU-Bonds)

Auction results EU-Bonds
ISIN EU000A3K4EW6 EU000A4D8KD2 EU000A3K4D74 Date of auction 25/08/2025 25/08/2025 25/08/2025 Settlement date 27/08/2025 27/08/2025 27/08/2025 Maturity 06/12/2027 12/12/2035 04/10/2038 Volume bids * 2 768 3 244 1 818 Volume allotment * 2 120 1 951 1 454 Old outstanding amount * 16 287 11 182 15 840 New outstanding amount * 16 287 11 182 15 840 Weighted average price 101.661% 101.523% 98.809% Lowest accepted price 101.650% 101.490% 98.770% % awarded at lowest accepted price 100.00% 47.51% 100.00% Weighted average yield 2.117% 3.199% 3.489% Cover ratio 1.31 1.66 1.25

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