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Eurozone and UK Government Debt Auction Calendar

     LONDON, JUL 24 (MNI) - Below are the known dates for auctions of European
bonds and U.K. gilts. 
          TIME
DATE      (UK)   COUNTRY        AMOUNT                      DETAILS      COMMENT
--------------------------------------------------------------------------------
27-31
Jul             ESM/EFSF                      Potential transaction
27 Jul    1100   Belgium           TBA             0.80% Jun-25 OLO      Re-open
27 Jul    1100   Belgium            ""             0.90% Jun-29 OLO      Re-open
28 Jul    1000     Italy  E0.75-1.00bn           0.40% May-30 BTPEi      Re-open
28 Jul    1000     Italy  E2.75-3.25bn                   May-22 CTZ      Re-open
28 Jul    1000        UK                          1.25% Jul-27 gilt      Re-open
28 Jul    1030   Germany         E4bln               0% Nov-27 Bund      Re-open
28 Jul    1130        UK                         1.625% Oct-54 gilt      Re-open
29 Jul    1000        UK                         0.125% Jan-23 gilt      Re-open
29 Jul    1030   Germany       E3.5bln               0% May-35 Bund      Re-open
29 Jul    1130        UK                         1.625% Oct-28 gilt      Re-open
30 Jul    1000     Italy                              M/T & L/T BTP
4 Aug     1000        UK                         0.125% Jan-26 gilt      Re-open
                                                                         Reserve
4 Aug     1015   Austria                                 TBA Jul 28         date
4 Aug     1130        UK                          1.25% Oct-41 gilt      Re-open
5 Aug     0945     Spain                                  Bono/Obli
5 Aug     1000        UK                         0.375% Oct-30 gilt      Re-open
5 Aug     1030   Germany         E5bln               0% Oct-25 Bobl
5 Aug     1130        UK                     0.125% Aug-48 I/L gilt      Re-open
6 Aug     0950    France                                OAT 8+ year
11 Aug    1000        UK                         0.625% Jun-25 gilt      Re-open
11 Aug    1130        UK                          1.75% Jul-57 gilt      Re-open
12 Aug    1000        UK                         0.125% Jan-28 gilt      Re-open
12 Aug    1030   Germany         E4bln               0% Aug-30 Bund
13 Aug    1000     Italy                              M/T & L/T BTP
18 Aug           Finland                                        TBA
18 Aug    1000        UK                         0.125% Jan-23 gilt      Re-open
18 Aug    1030   Germany         E4bln               0% Nov-27 Bund
18 Aug    1130        UK                         0.625% Oct-50 gilt      Re-open
19 Aug    0945     Spain                                  Bono/Obli
19 Aug    1000        UK                         0.875% Oct-29 gilt      Re-open
19 Aug    1030   Germany       E1.5bln               0% Aug-50 Bund
20 Aug           Ireland                                        TBA
20 Aug    0950    France                              OAT 2-8 years
20 Aug    1000        UK                     0.125% Aug-28 I/L gilt      Re-open
24 Aug    1100   Belgium                                        OLO
25 Aug    1000        UK                         0.125% Jan-26 gilt      Re-open
25 Aug    1030   Germany         E6bln             0% Sep-22 Schatz          New
25 Aug    1130        UK                         1.625% Oct-54 gilt      Re-open
26 Aug    1000     Italy                                  CTZ/BTPei
26 Aug    1000        UK                         0.375% Oct-30 gilt
26 Aug    1030   Germany       E3.5bln               0% May-35 Bund
28 Aug    1000     Italy                              M/T & L/T BTP
17 Sep           Ireland                                        TBA
     * Belgium will issue a new syndicated medium-term benchmark bond this year.
* Germany plans to issue a 10-year Green bond via syndication in September.
* Finland plans to issue a new 10-year benchmark in H2 and to tap an existing
bond in Q3. 
* Italy plans to issued the following new bonds in Q3: 5y BTP maturing Feb-26,
7y BTP maturing Sep-27, CTZ maturing Nov-22. The following on-the-run bonds will
continue to be issued: 3y BTP 0.30% Aug-23, 5y BTP 1.85% Jul-25, 10y BTP 1.65%
Dec-30, CTZ maturing May-22
* EFSF Q3 funding target E5.0bln, ESM Q3 funding target E3.0bln.
* The UK DMO will release the details of its auction schedule on Friday 3 July
at 7:30BST.
--MNI London Bureau; +44 203 865 3808; email: bruce.jeffery@marketnews.com
[TOPICS: MTABLE,MNXAU$,M$E$$$,M$X$$$,M$$FI$]

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