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Eurozone and UK Government Debt Auction Calendar

Below are the known dates for auctions of European bonds and U.K. gilts.

DateTime (UK)CountryAmountDetailsNote/Details announced
11-Aug1000UKTBC 04-Aug0.625% Jun-25
11-Aug1130UKTBC 04-Aug1.75% Jul-57
12-Aug1000UKTBC 05-Aug0.125% Jan-28
12-Aug1030GermanyE4bln0% Aug-30 Bund
13-Aug1000ItalyTBCM/T & L/T BTP10-Aug
18-Aug1000UKTBC 11-Aug0.125% Jan-23
18-Aug1130UKTBC 11-Aug0.625% Oct-50
19-Aug1000UKTBC 12-Aug0.875% Oct-29
19-Aug1030GermanyE1.5bln0% Aug-50 Bund
20-Aug0945SpainBono/Olbi
20-Aug0950France2-8y OAT
20-Aug1000UKTBC 13-Aug0.125% Aug-28 Linker
24-Aug1100BelgiumOLO
25-Aug1000UKTBC 18-Aug0.125% Jan-26
25-Aug1030GermanyE6bln0% Sep-22 SchatzNew
25-Aug1130UKTBC 18-Aug1.625% Oct-54
26-Aug1000ItalyCTZ/BTPei21-Aug
26-Aug1000UKTBC 19-Aug0.375% Oct-30
26-Aug1030GermanyE3.5bln0% May-35 Bund
28-Aug1000ItalyM/T & L/T BTP25-Aug
02-Sep1000UKTBC 26-Aug0.125% Nov-56 Linker
02-Sep1030GermanyE4bln0% Oct-25 Bobl
03-Sep0945SpainBono/Obli/Linker
03-Sep0950FranceL/T OAT
03-Sep1000UKTBC 27-Aug0.125% Jan-28
03-Sep1130UKTBC 27-Aug1.25% Oct-41
08-Sep0900NetherlandsNew 30y DSL / reopening existing DSL02-Sep
08-Sep1015AustriaRAGB03-Sep
08-SepUKNew Jul-35 giltSyndication; date TBC
09-Sep1030GermanyE4bln0% Aug-30 Bund
10-Sep1000IrelandIGB07-Sep
10-Sep1000ItalyM/T & L/T BTP07-Sep
10-Sep1000UKTBC 03-Sep0.125% Jan-23
10-Sep1130UKTBC 03-Sep0.625% Oct-50
14-18-SepEFSF/ESMPotential benchmark
15-Sep1000UKTBC 08-Sep1.25% Jul-27
15-Sep1030GermanyE4bln0% Nov-27 Bund
15-Sep1130UKTBC 08-Sep1.75% Sep-37
16-Sep1000UKTBC 09-Sep0.375% Oct-30
16-Sep1030GermanyE1.5bln1.25% Aug-48 Bund
17-Sep0945SpainBono/Olbi
17-Sep0950FranceM/T & I/L OAT
21-Sep1015SlovakiaSlovGB
21-Sep1100BelgiumOLO
21-25-SepEFSF/ESM
22-Sep1030GermanyE5bln0% Sep-22 Schatz
22-Sep1600NetherlandsE4-6blnNew Jan-52 DSLDDA; Guidance 21-Sep
22-SepUK0.50% Oct-61Syndication; date TBC
23-Sep1030GermanyE3.5bln0% May-35 Bund
24-Sep1000ItalyCTZ/BTPei21-Sep
24-Sep1000UKTBC 17-Sep0.125% Jan-26
24-Sep1130UKTBC 17-Sep0.125% Aug-28 Linker
29-Sep1000ItalyM/T & L/T BTP24-Sep
29-Sep1000UKTBC 22-Sep0.125% Jan-28
30-Sep1030GermanyE4bln0% Oct-25 Bobl
01-Oct0945SpainBono/Obli/Linker
01-Oct0950FranceL/T OAT
01-Oct1000UKTBC 24-Sep0.125% Jan-23
01-Oct1130UKTBC 24-Sep1.25% Oct-41
06-Oct1000UKTBC 29-SepJan-24 giltNew
06-Oct1015AustriaRAGB01-Oct
06-Oct1130UKTBC 29-Sep1.75% Jan-49
07-Oct1000UKTBC 30-Sep0.375% Oct-30
07-Oct1030GermanyE3bln0% Aug-30 Bund
07-Oct1130UKTBC 30-Sep0.125% Aug-41 Linker
13-Oct1000ItalyM/T & L/T BTP08-Oct
13-Oct1000UKTBC 06-Oct0.125% Jan-26
13-Oct1130UKTBC 06-Oct1.75% Jul-57
14-Oct1000UKTBC 07-Oct0.875% Oct-29
14-Oct1030GermanyE1bln1.25% Aug-48 Bund
15-Oct0945SpainBono/Olbi
15-Oct0950FranceM/T & I/L OAT
19-Oct1015SlovakiaSlovGB
19-Oct1100BelgiumOLO
20-Oct1000UKTBC 13-Oct1.25% Nov-32 Linker
20-Oct1030GermanyE4bln0% Sep-22 Schatz
22-Oct1000UKTBC 15-OctJul-35 gilt
22-Oct1130UKTBC 15-Oct0.625% Oct-50
27-Oct1000ItalyCTZ/BTPei22-Oct
27-Oct1000UKTBC 20-OctJan-24 gilt
27-Oct1130UKTBC 20-Oct1.625% Oct-71
28-Oct1000UKTBC 21-Oct0.375% Oct-30
28-Oct1030GermanyE2blnAug-30 Bund
29-Oct1000ItalyM/T & L/T BTP23-Oct
03-Nov1000UKTBC 27-Oct0.125% Jan-28
03-Nov1015AustriaRAGB29-Oct
03-Nov1130UKTBC 27-Oct1.25% Oct-41
04-Nov1000UKTBC 28-Oct0.125% Jan-26
04-Nov1030GermanyE3bln0% Oct-25 Bobl
05-Nov0945SpainBono/Obli/Linker
05-Nov0950FranceL/T OAT
11-Nov1000UKTBC 04-Nov0.125% Nov-36 Linker
11-Nov1030GermanyE1bln0% Aug-50 Bund
12-Nov1000ItalyM/T & L/T BTP09-Nov
12-Nov1000UKTBC 05-NovJul-31 giltNew
12-Nov1130UKTBC 05-Nov1.625% Oct-54
16-Nov1015SlovakiaSlovGB
17-Nov1000UKTBC 10-NovJan-24 gilt
17-Nov1130UKTBC 10-Nov0.625% Oct-50
18-Nov1000UKTBC 11-NovJul-35 gilt
18-Nov1030GermanyE2blnAug-30 Bund
19-Nov0945SpainBono/Olbi
19-Nov0950FranceM/T & I/L OAT
23-Nov1100BelgiumOLO
24-Nov1000UKTBC 17-Nov1.25% Jul-27
24-Nov1030GermanyE5bln0% Dec-22 SchatzNew
24-Nov1130UKTBC 17-Nov1.75% Jul-57
25-Nov1000ItalyCTZ/BTPei20-Nov
25-Nov1000UKTBC 18-Nov0.125% Aug-28 Linker
27-Nov1000ItalyM/T & L/T BTP24-Nov
02-Dec1030GermanyE3bln0% Oct-25 Bobl
03-Dec0950FranceOAT and/or I/L OAT
09-Dec1015AustriaRAGB03-Dec
09-Dec1030GermanyE2blnAug-30 Bund
10-Dec0945SpainBono/Obli/Linker
10-Dec1000ItalyM/T & L/T BTP04-Dec
14-Dec1015SlovakiaSlovGBReserve date
15-Dec1030GermanyE3bln0% Dec-22 Schatz
17-Dec0945SpainBono/Olbi
29-Dec1000ItalyCTZ/BTPei23-Dec
30-Dec1000ItalyM/T & L/T BTP23-Dec
07-Jan0945SpainBono/Obli/Linker
13-Jan1000ItalyM/T & L/T BTP08-Jan
21-Jan0945SpainBono/Olbi
26-Jan1000ItalyCTZ/BTPei21-Jan
28-Jan1000ItalyM/T & L/T BTP25-Jan
  • Belgium will issue a new syndicated medium-term benchmark bond this year.
  • Finland plans to issue a new 10-year benchmark in H2 and to tap an existing bond in Q3.
  • Germany plans to issue a 10-year Green bond via syndication in September and a 5-year Green bond via syndication in Q4.
  • Germany has yet to release an updated auction schedule for Q4 but has confirmed that further issues in the 7-year and 15-year segments will continue.
  • 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 has confirmed it has completed its Q3 funding target of E5.0bln.
  • ESM Q3 funding target E3.0bln.

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