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EZ/UK Bond Supply Calendar: EU Syndication; BoE APF Due Monday

Below are the known dates for auctions of European bonds and UK gilts. All times are UK.

See the notes section at the bottom for more colour.

DateTimeCountryAmountDetailsNotes
09-Sep-241445UKGBP650mlnLong APF Sales (20y+)
W/C 9-Sep----EUTBAEU-bond syndication
10-Sep-240900NetherlandsE1.5-2.0bln0% Jan-52 DSLRe-open
10-Sep-241000UKGBP900mln0.625% Mar-45 linkerRe-open
10-Sep-241030GermanyE500mln2.10% Apr-29 Green BoblRe-open
10-Sep-241030GermanyE500mln0% Aug-50 Green BundRe-open
11-Sep-241000UKGBP3.75bln4.25% Jul-34 GiltRe-open
11-Sep-241030GermanyE4.5bln2.60% Aug-34 BundRe-open
11-Sep-241030PortugalTBA 6-SepPotential OT auctionTBA 6-Sep
12-Sep-241000IrelandTBA 9-SepIGBTBA 9-Sep
12-Sep-241000ItalyTBA 9-Sep3-year BTPTBA 9-Sep
12-Sep-241000ItalyTBA 9-Sep7-year BTPTBA 9-Sep
12-Sep-241000ItalyTBA 9-Sep15-50-year BTPTBA 9-Sep
16-Sep-241000SlovakiaTBASlovGBTBA 9-Sep
16-Sep-241445UKGBP725mlnMedium APF Sales (7y-20y)
17-Sep-241000UKTBA 10-Sep4.375% Jul-54 GiltRe-open
17-Sep-241100FinlandE1.0-1.5blnConventional auctionTBA 13-Sep
18-Sep-241000GreeceTBA 17-SepGGBRe-open
18-Sep-241000UKTBA 11-Sep0.875% Jul-33 Green GiltRe-open
18-Sep-241030GermanyE1bln1.80% Aug-53 BundRe-open
18-Sep-241030GermanyE1bln30-year BundTBA 10-Sep
19-Sep-240930SpainTBA 16-SepBono/OlbiTBA 13-Sep
19-Sep-240950FranceTBA 13-SepMT OATsTBA 13-Sep
19-Sep-241050FranceTBA 13-SepIL OATsTBA 13-Sep
23-Sep-241030EUTBA 18-SepEU-bond auctionTBA 18-Sep
23-Sep-241100BelgiumTBA 20-SepConventional auctionTBA 17-Sep
24-Sep-241000UKTBA 17-Sep0.75% Nov-33 linkerRe-open
24-Sep-241030GermanyE4.5bln2.70% Sep-26 SchatzRe-open
25-Sep-241000ItalyTBA 20-SepBTP Short TermTBA 20-Sep
25-Sep-241000ItalyTBA 20-SepBTPeiTBA 20-Sep
25-Sep-241000UKTBA 18-Sep4.00% Oct-31 GiltRe-open
25-Sep-241030GermanyE3bln2.40% Nov-30 BundRe-open
25-Sep-241030PortugalTBA 20-SepPotential OT auctionTBA 20-Sep
27-Sep-241000ItalyTBA 24-Sep5-year BTPTBA 24-Sep
27-Sep-241000ItalyTBA 24-Sep10-year BTPTBA 24-Sep
27-Sep-241000ItalyTBA 24-SepCCTeuTBA 24-Sep
30-Sep-241445UKGBP800mlnShort APF Sales (3y-7y)
01-Oct-241000UKTBA 24-Sep4.75% Oct-43 GiltRe-open
01-Oct-241030GermanyE4bln2.50% Oct-29 BoblRe-open
02-Oct-241000UKTBA 25-Sep4.125% Jul-29 GiltRe-open
02-Oct-241030GermanyE4.5bln2.60% Aug-34 BundRe-open
03-Oct-240930SpainTBA 30-SepBono/OlbiTBA 27-Sep
03-Oct-240930SpainTBA 30-SepObliEiTBA 27-Sep
03-Oct-240950FranceTBA 27-SepLT OATsTBA 27-Sep
W/C 7-Oct----EUTBAEU-bond syndication
08-Oct-240900NetherlandsTBA 2-OctPotential DSL auctionTBA 2-Oct
08-Oct-241000AustriaTBA 3-OctRAGBTBA 3-Oct
08-Oct-241000UKTBA 1-Oct0.125% Mar-39 linkerRe-open
08-Oct-241030GermanyTBA 30-SepGreen auctionTBA 30-Sep
09-Oct-241000UKTBA 2-Oct4.25% Jul-34 GiltRe-open
09-Oct-241030GermanyE1bln15-year BundTBA 1-Oct
09-Oct-241030GermanyE500mln15-year BundTBA 1-Oct
09-Oct-241030PortugalTBA 4-OctPotential OT auctionTBA 4-Oct
11-Oct-241000ItalyTBA 8-Oct3-year BTPTBA 8-Oct
11-Oct-241000ItalyTBA 8-Oct7-year BTPTBA 8-Oct
11-Oct-241000ItalyTBA 8-Oct15-50-year BTPTBA 8-Oct
15-Oct-241000UKTBA 8-Oct4.375% Jul-54 GiltRe-open
16-Oct-241000GreeceTBA 15-OctGGBRe-open
16-Oct-241000UKTBA 9-Oct4.00% Oct-31 GiltRe-open
16-Oct-241030GermanyE1bln30-year BundTBA 8-Oct
16-Oct-241030GermanyE1bln30-year BundTBA 8-Oct
17-Oct-240930SpainTBA 14-OctBono/OlbiTBA 11-Oct
17-Oct-240950FranceTBA 11-OctMT OATsTBA 11-Oct
17-Oct-241050FranceTBA 11-OctIL OATsTBA 11-Oct
21-Oct-241000SlovakiaTBASlovGBTBA 14-Oct
21-Oct-241030EUTBA 16-OctEU-bond auctionTBA 16-Oct
21-Oct-241100BelgiumTBA 18-OctConventional auctionTBA 15-Oct
22-Oct-240900NetherlandsTBA 16-OctPotential DSL auctionTBA 16-Oct
22-Oct-241000UKTBA 15-Oct0.625% Mar-45 linkerRe-open
22-Oct-241030GermanyE5blnDec-26 SchatzNew
23-Oct-241000UKTBA 16-Oct3.75% Mar-27 GiltRe-open
23-Oct-241030GermanyE4bln2.60% Aug-34 BundRe-open
23-Oct-241030PortugalTBA 18-OctPotential OT auctionTBA 18-Oct
24-Oct-241100FinlandUp to E0.4blnORI Facility
25-Oct-241000ItalyTBA 22-OctBTP Short TermTBA 22-Oct
25-Oct-241000ItalyTBA 22-OctBTPeiTBA 22-Oct
29-Oct-241000UKTBA 22-Oct4.125% Jul-29 GiltRe-open
29-Oct-241030GermanyE4bln2.50% Oct-29 BoblRe-open
30-Oct-241000ItalyTBA 25-Oct5-year BTPTBA 25-Oct
30-Oct-241000ItalyTBA 25-Oct10-year BTPTBA 25-Oct
30-Oct-241000ItalyTBA 25-OctCCTeuTBA 25-Oct
31-Oct-241000UKTBA 24-Oct1.50% Jul-53 Green GiltRe-open
04-Nov-241030EUTBA 30-OctEU-bond auctionTBA 30-Oct
05-Nov-241000AustriaTBA 31-OctRAGBTBA 31-Oct
05-Nov-241000UKTBA 29-Oct4.25% Jul-34 GiltRe-open
05-Nov-241030GermanyTBA 28-OctGreen auctionTBA 28-Oct
06-Nov-241030GermanyE1bln15-year BundTBA 29-Oct
06-Nov-241030GermanyE500mln15-year BundTBA 29-Oct
07-Nov-240930SpainTBA 4-NovBono/OlbiTBA 1-Nov
07-Nov-240930SpainTBA 4-NovObliEiTBA 1-Nov
07-Nov-240950FranceTBA 1-NovLT OATsTBA 1-Nov
08-Nov-241100BelgiumTBA 7-NovORI FacilityORI Facility
12-Nov-240900NetherlandsTBA 6-NovPotential DSL auctionTBA 6-Nov
12-Nov-241000UKTBA 5-Nov4.75% Oct-43 GiltRe-open
12-Nov-241030GermanyE5blnDec-26 SchatzRe-open
13-Nov-241000ItalyTBA 8-Nov3-year BTPTBA 8-Nov
13-Nov-241000ItalyTBA 8-Nov7-year BTPTBA 8-Nov
13-Nov-241000ItalyTBA 8-Nov15-50-year BTPTBA 8-Nov
13-Nov-241000UKTBA 6-NovMar-28 GiltNew
13-Nov-241030GermanyE4bln2.60% Aug-34 BundRe-open
13-Nov-241030PortugalTBA 8-NovPotential OT auctionTBA 8-Nov
18-Nov-241000SlovakiaTBASlovGBTBA 11-Nov
18-Nov-241100BelgiumTBA 15-NovConventional auctionTBA 12-Nov
W/C 18-Nov----EUTBAEU-bond syndication
19-Nov-241000UKTBA 12-Nov3.75% Jan-38 GiltRe-open
20-Nov-241000GreeceTBA 19-NovGGBRe-open
20-Nov-241030GermanyE1bln30-year BundTBA 12-Nov
20-Nov-241030GermanyE1bln30-year BundTBA 12-Nov
21-Nov-240930SpainTBA 18-NovBono/OlbiTBA 15-Nov
21-Nov-240950FranceTBA 15-NovMT OATsTBA 15-Nov
21-Nov-241050FranceTBA 15-NovIL OATsTBA 15-Nov
25-Nov-241030EUTBA 20-NovEU-bond auctionTBA 20-Nov
26-Nov-240900NetherlandsTBA 20-NovPotential DSL auctionTBA 20-Nov
26-Nov-241000ItalyTBA 21-NovBTP Short TermTBA 21-Nov
26-Nov-241000ItalyTBA 21-NovBTPeiTBA 21-Nov
26-Nov-241030GermanyE4bln2.50% Oct-29 BoblRe-open
27-Nov-241030PortugalTBA 22-NovPotential OT auctionTBA 22-Nov
28-Nov-241000ItalyTBA 25-Nov5-year BTPTBA 25-Nov
28-Nov-241000ItalyTBA 25-Nov10-year BTPTBA 25-Nov
28-Nov-241000ItalyTBA 25-NovCCTeuTBA 25-Nov
28-Nov-241100FinlandUp to E0.4blnORI Facility
03-Dec-241000UKTBA 26-Nov4.375% Jul-54 GiltRe-open
03-Dec-241030GermanyE4.5blnDec-26 SchatzRe-open
04-Dec-241000UKTBA 27-Nov4.00% Oct-31 GiltRe-open
04-Dec-241030GermanyE3.5bln2.60% Aug-34 BundRe-open
05-Dec-240930SpainTBA 2-DecBono/OlbiTBA 29-Nov
05-Dec-240930SpainTBA 2-DecObliEiTBA 29-Nov
05-Dec-240950FranceTBA 29-NovNominal / IL OATsTBA 29-Nov
W/C 9-Dec----EUTBAPotential EU-bond syndication
10-Dec-240900NetherlandsTBA 4-DecPotential DSL auctionTBA 4-Dec
10-Dec-241000AustriaTBA 5-DecRAGBTBA 5-Dec
10-Dec-241000UKTBA 3-Dec0.75% Nov-33 linkerRe-open
11-Dec-241000UKTBA 4-Dec4.25% Jul-34 GiltRe-open
11-Dec-241030PortugalTBA 6-DecPotential OT auctionTBA 6-Dec
12-Dec-240930SpainTBA 9-DecBono/OlbiTBA 6-Dec
12-Dec-241000ItalyTBA 9-Dec3-year BTPTBA 9-Dec
12-Dec-241000ItalyTBA 9-Dec7-year BTPTBA 9-Dec
12-Dec-241000ItalyTBA 9-Dec15-50-year BTPTBA 9-Dec
13-Dec-241100BelgiumTBA 12-DecORI FacilityORI Facility
16-Dec-241000SlovakiaTBAReserve auctionTBA 9-Dec
17-Dec-241000UKTBA 10-Dec4.125% Jul-29 GiltRe-open
31-Dec-241000ItalyTBA 23-Dec5-year BTPTBA 23-Dec
31-Dec-241000ItalyTBA 23-Dec10-year BTPTBA 23-Dec
31-Dec-241000ItalyTBA 23-DecCCTeuTBA 23-Dec
07-Jan-251000UKTBA 31-DecConventional giltTBA 29-Nov
08-Jan-251000UKTBA 1-JanConventional giltTBA 29-Nov
09-Jan-250930SpainTBA 6-JanBono/OlbiTBA 3-Jan
09-Jan-250930SpainTBA 6-JanObliEiTBA 3-Jan
14-Jan-251000ItalyTBA 9-Jan3-year BTPTBA 9-Jan
14-Jan-251000ItalyTBA 9-Jan7-year BTPTBA 9-Jan
14-Jan-251000ItalyTBA 9-Jan15-50-year BTPTBA 9-Jan
14-Jan-251000UKTBA 7-JanI/L giltTBA 29-Nov
15-Jan-251000UKTBA 8-JanConventional giltTBA 29-Nov
16-Jan-250930SpainTBA 13-JanBono/OlbiTBA 10-Jan
23-Jan-251000UKTBA 16-JanConventional giltTBA 29-Nov
28-Jan-251000ItalyTBA 23-JanBTP Short TermTBA 23-Jan
28-Jan-251000ItalyTBA 23-JanBTPeiTBA 23-Jan
28-Jan-251000UKTBA 21-JanI/L giltTBA 29-Nov
29-Jan-251000UKTBA 22-JanConventional giltTBA 29-Nov
30-Jan-251000ItalyTBA 27-Jan5-year BTPTBA 27-Jan
30-Jan-251000ItalyTBA 27-Jan10-year BTPTBA 27-Jan
30-Jan-251000ItalyTBA 27-JanCCTeuTBA 27-Jan
04-Feb-251000UKTBA 28-JanConventional giltTBA 29-Nov
05-Feb-251000UKTBA 29-JanConventional giltTBA 29-Nov
11-Feb-251000UKTBA 4-FebI/L giltTBA 29-Nov
12-Feb-251000UKTBA 5-FebConventional giltTBA 29-Nov
18-Feb-251000UKTBA 11-FebConventional giltTBA 29-Nov
19-Feb-251000UKTBA 12-FebConventional giltTBA 29-Nov
27-Feb-251000UKTBA 20-FebConventional giltTBA 29-Nov
04-Mar-251000UKTBA 25-FebConventional giltTBA 29-Nov
05-Mar-251000UKTBA 26-FebConventional giltTBA 29-Nov
11-Mar-251000UKTBA 4-MarConventional giltTBA 29-Nov
19-Mar-251000UKTBA 12-MarConventional giltTBA 29-Nov
25-Mar-251000UKTBA 18-MarI/L giltTBA 29-Nov
26-Mar-251000UKTBA 19-MarConventional giltTBA 29-Nov
  • Austria plans 3-4 syndication in 2024 (it has held one triple tranche on 18 January and one single tranche on 22 May) and to raise E6.0bln through green issuance (with an 80/20 bond/bill split).
  • Belgium has launched its planned 3 new benchmark OLOs for in 2024 via syndications (3 in 2023). 5-year 2.70% Oct-29 OLO (launched on 9 April), 10-year 2.85% Oct-34 OLO (launched on 9 January) and 30-year 3.50% Jun-55 OLO launched on 7 February. Belgium has also sold USD1.25bln of the 30-year 4.875% Jun-55 USD bond and may hold further EMTN transactions if funding conditions remain favourable.
  • Finland plans 3 syndications in 2024, 30-year benchmark has already been issued (on 17 January), new 10-year on 23 April) with a third due in Q4 (5-7 / 15+ year). E10bln is expected to be raised at syndications in 2024 with E7bln raised so far.
  • France plans to launch the following new issues in 2024: one new 3-year OAT (launched 18 January), one new 5/6-year OAT (launched on 18 April), two new 10-year OATs via auction, new 30-year OAT via syndication (launched 27 February), one new 10-year OATei and under consideration is a 15-20-year OATi. 3.00% Jun-49 Green OAT was launched on 16 January.
  • Germany has held three syndications in 2024:The 30-year 2.50% Aug-54 Bund was launched in January and then reopened for a combined E10.5bln. The 1.80% Aug-53 Green Bund was reopened for E3.0bln in June.
  • Ireland intends to conduct "at least one" syndication in 2024. It launched a new 10-year IGB on 11 January.
  • Italy: New bonds to be issued in Q3 are a BTP Short Term maturing 28 August 2026 (minimum outstanding E9bln, launched 25 July), a 5-year BTP maturing 1 October 2029 (minimum outstanding E10bln), and a 10-year BTP maturing 1 February 2035 (minimum outstanding E10bln, to be launched 30 July). Bonds to be reopened in Q3 are the 3-year 3.45% Jul-27 BTP (minimum outstanding E9bln), the 5-year 3.35% Jul-29 BTP (minimum outstanding E10bln already exceeded), the 7-year 3.45% Jul-31 BTP (minimum outstanding E10bln), and the 10-year 3.85% Jul-34 BTP (minimum outstanding E10bln already exceeded).
  • Italy has launched two BTP Valores (first launched W/C 27 February and W/C 6 May) and one BTP Italia (on 2 Jul) in 2024 as of now. Possibility of new BTP Futura would be based on market conditions and demand for the instrument.
  • Slovakia plans to raise E4.5-5.5bln through syndications in 2024 with 2-3 new issues launched: one 2-year (launched on 5 February, max issue size E1.5bln), one 4- year (launched on 5 February, max issue size E3bln), one 10-year (launched on 27 February; max issue size E5bln).
  • The BOE will announce its 2024/25 APF sales target on 19 September (if there are active sales, the Q4-24 schedule will be announced simultaneously).
  • The UK plans to hold an index-linked gilt syndication in the second half of November.
  • The UK DMO has announced it will schedule a consultation in early September with regards to a sub-3-year gilt tender.
  • The DMO will hold a consultation with GEMMs and investors to discuss FQ4 (Jan-Mar) issuance on Mon 11 November with the agenda likely published on Monday 4 November.

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