Free Trial

Eurozone and UK Government Debt Auction Calendar

     LONDON, JUN 5 (MNI) - Below are the known dates for auctions of European
bonds and U.K. gilts. 
        TIME
DATE    (UK)      COUNTRY        AMOUNT                  DETAILS         COMMENT
--------------------------------------------------------------------------------
Jun               Germany                              0% Aug-50            Synd
9 Jun   0900  Netherlands       E1-3bln         0.00% Jul-30 DSL         Re-open
9 Jun   1030      Germany         E3bln           0% Nov-27 Bund         Re-open
                                                                    Syndication,
9 Jun*                 UK                     0.625% Oct-50 gilt             new
10 Jun  1000           UK     GBP0.9bln     0.125% Nov-36 linker         Re-open
10 Jun  1030     Portugal  E1.25-1.50bn         2.875% Jul-26 OT         Re-open
10 Jun  1030     Portugal            ""         0.475% Oct-30 OT         Re-open
11 Jun  1000        Italy           TBA            M/T & L/T BTP
11 Jun  1000           UK     GBP3.25bn        1.00% Apr-24 gilt         Re-open
11 Jun  1000           UK     GBP3.25bn      0.1235% Jan-28 gilt             New
11 Jun  1030      Ireland           TBA                      TBA
11 Jun  1130           UK                            Jan-28 gilt             New
15 Jun  1015     Slovakia       E0.4bln            4-year SlovGB             New
15 Jun  1015     Slovakia       E0.4bln            7-year SlovGB             New
16 Jun  1000           UK                      1.50% Jul-26 gilt
16 Jun  1130           UK                      4.75% Dec-30 gilt
17 Jun  0945        Spain                              Bono/Obli
17 Jun  1000           UK                     0.125% Jan-23 gilt
17 Jun  1030      Germany         E5bln              Aug-30 Bund             New
17 Jun  1130           UK                      1.25% Oct-41 gilt
18 Jun  0950       France                          M/T & I/L OAT
22 Jun  1100      Belgium                                    OLO
23 Jun  0900  Netherlands                       TBA existing DSL
23 Jun  1000           UK                            Jan-26 gilt
23 Jun  1030      Germany         E5bln         0% Jun-22 Schatz
23 Jun  1130           UK                     0.375% Oct-30 gilt
24 Jun  1000           UK                      2.75% Sep-24 gilt
24 Jun  1130           UK                     1.625% Oct-54 gilt
25 Jun  1000        Italy                              CTZ/BTPei
25 Jun  1000           UK                   0.125% Mar-29 linker
30 Jun  1000        Italy                          M/T & L/T BTP
30 Jun  1030      Germany         E3bln           0% Nov-27 Bund
1 Jul   0945        Spain                              Bono/Obli
1 Jul   1000           UK                            Jan-28 gilt
1 Jul   1130           UK                     0.625% Oct-50 gilt
2 Jul   0950       France                                L/T OAT
2 Jul   1000           UK                     0.625% Jun-25 gilt
2 Jul   1130           UK                      4.50% Sep-34 gilt
7 Jul   1000           UK                     0.125% Jul-23 gilt
7 Jul   1015      Austria                             TBA Jun 30
7 Jul   1130           UK                      1.25% Oct-41 gilt
8 Jul   1000           UK                     0.125% Aug-41 gilt
8 Jul   1030      Germany         E4bln           0% Oct-25 Bobl             New
14 Jul  1000        Italy                          M/T & L/T BTP
14 Jul  1000           UK                     0.125% Jan-26 gilt
14 Jul  1130           UK                     0.375% Oct-30 gilt
15 Jul  0945        Spain                              Bono/Obli
15 Jul  1000           UK                     Short conventional
15 Jul  1030      Germany         E4bln           0% Aug-30 Bund
15 Jul  1130           UK                      Long conventional
16 Jul  0950       France                          M/T & I/L OAT
20 Jul  1015     Slovakia                                 SlovGB    Reserve date
21 Jul  1000           UK                     Short conventional
21 Jul  1030      Germany         E4bln         0% Jun-22 Schatz
21 Jul  1130           UK                     0.625% Oct-50 gilt
22 Jul  1000           UK                            Jan-28 gilt
22 Jul  1030      Germany       E1.5bln           0% Aug-50 Bund
22 Jul  1130           UK                               I/L gilt
27 Jul  1100      Belgium                                    OLO
28 Jul  1000        Italy                              CTZ/BTPei
28 Jul  1000           UK                     Short conventional
28 Jul  1000           UK                    Medium conventional
29 Jul  1130           UK                     Short conventional
29 Jul  1130           UK                      Long conventional
30 Jul  1000        Italy                          M/T & L/T BTP
4 Aug   1015      Austria                             TBA Jul 28    Reserve date
5 Aug   0945        Spain                              Bono/Obli
5 Aug   1030      Germany         E3bln           0% Oct-25 Bobl
6 Aug   0950       France                            OAT 8+ year
12 Aug  1030      Germany         E4bln           0% Aug-30 Bund
13 Aug  1000        Italy                          M/T & L/T BTP
17 Aug  1015     Slovakia                                 SlovGB    Reserve date
19 Aug  0945        Spain                              Bono/Obli
19 Aug  1030      Germany         E1bln        1.25% Aug-48 Bund
20 Aug  0950       France                          OAT 2-8 years
24 Aug  1100      Belgium                                    OLO
25 Aug  1030      Germany         E5bln         0% Sep-22 Schatz             New
26 Aug  1000        Italy                              CTZ/BTPei
28 Aug  1000        Italy                          M/T & L/T BTP
     * Belgium will issue a new syndicated medium-term benchmark bond this year.
* Italy has pushed back the launch of its new 7-year BTP to Q320.
--MNI London Bureau; +44 203 865 3808; email: bruce.jeffery@marketnews.com
[TOPICS: MTABLE,MNXAU$,M$E$$$,M$X$$$,M$$FI$]

To read the full story

Close

Why MNI

MNI is the leading provider

of intelligence and analysis on the Global Fixed Income, Foreign Exchange and Energy markets. We use an innovative combination of real-time analysis, deep fundamental research and journalism to provide unique and actionable insights for traders and investors. Our "All signal, no noise" approach drives an intelligence service that is succinct and timely, which is highly regarded by our time constrained client base.

Our Head Office is in London with offices in Chicago, Washington and Beijing, as well as an on the ground presence in other major financial centres across the world.