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Online retail savings product of
the Republic of Austria

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bundesschatz.at

Government bonds

Republic of Austria Government Bonds (RAGBs) are issued through the Austrian Treasury in the name and for the account of the Republic of Austria.

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Austrian Government Bonds 2017 

Issue DateNameValue DateMaturityISIN Code% p.a.IncreaseAmount *Outstanding
Volume *
10.01.171.50% RAGB 2016-2047/212.01.1720.02.47AT0000A1K9F11.500Yes411.93,018.1
10.01.170.75% RAGB 2016-2026/112.01.1720.10.26AT0000A1K9C80.750Yes715.010,142.9
07.02.170.75% RAGB 2016-2026/109.02.1720.10.26AT0000A1K9C80.750Yes770.010,912.9
07.02.171.75% RAGB 2013-2023/209.02.1720.10.23AT0000A105W31.750Yes660.010,853.7
07.03.172.40% RAGB 2013-2034/109.03.1723.05.34AT0000A106832.400Yes687.66,912.3
07.03.170.75% RAGB 2016-2026/109.03.1720.10.26AT0000A1K9C80.750Yes660.011,572.9
04.04.176.25% RAGB 1997-2027/6 06.04.1715.07.27AT00003838646.250Yes650.18,399.5
04.04.170.00% RAGB 2016-2023/306.04.1715.07.23AT0000A1PE500.000Yes715.03,715.0
11.04.170.50% RAGB 2017-2027/120.04.1720.04.27AT0000A1VGK00.500No4,500.04,500.0
09.05.171.50% RAGB 2016-2047/211.05.1720.02.47AT0000A1K9F11.500Yes515.93,534.0
09.05.170.50% RAGB 2017-2027/1 11.05.1720.04.27AT0000A1VGK00.500Yes698.05,198.0
06.06.170.50% RAGB 2017-2027/1 08.06.1720.04.27AT0000A1VGK00.500Yes776.95,974.9
06.06.170.00% RAGB 2016-2023/308.06.1715.07.23AT0000A1PE500.000Yes661.34,376.3
04.07.171.50% RAGB 2016-2047/206.07.1720.02.47AT0000A1K9F11.500Yes575.04,109.0
04.07.170.50% RAGB 2017-2027/1 06.07.1720.04.27AT0000A1VGK00.500Yes690.06,664.9
08.08.171.50% RAGB 2016-2047/210.08.1720.02.47AT0000A1K9F11.500Yes393.14,502.0
08.08.171.75% RAGB 2013-2023/210.08.1720.10.23AT0000A105W31.750Yes842.911,696.6
05.09.174.15% RAGB 2007-2037/107.09.1715.03.37AT0000A049674.150Yes663.312,795.7
05.09.170.50% RAGB 2017-2027/1 07.09.1720.04.27AT0000A1VGK00.500Yes928.77,593.6
12.09.172.10% RAGB 2017-2117/320.09.1720.09.17AT0000A1XML22.100No3,500.03,500.0
12.09.170.00% RAGB 2017-2022/220.09.1720.09.22AT0000A1XM920.000No4,000.04,000.0
03.10.17Aufgrund der Begebung von zwei neuen Bundes-Anleihen im Syndikatsverfahren im September 2017 (0,0% RAGB 2017-2022 und 2,1% 2017-2117) wird der Auktionstermin am 3 Oktober 2017 nicht wahrgenommen.

The auction date on 3 October will not be used due to the opening of two new lines by syndication in September 2017 (0.0% RAGB 2017-2022 and 2.1% 2017-2117).
05.10.17------
07.11.17Auktion / Auction09.11.17------
12.12.17Auktion / Auction14.12.17------