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Auction Results

Irish Treasury Bond Auction Results

Auction DateBond(s)Auction Size (€€m)Comp. Amount Sold (€€m)PriceYieldBid-Cover RatioNon-Comp. Amount Sold (€€m)Total Amount Sold (€€m)
14/09/20171% Treasury Bond 2026550550102.600.689%2.553.75553.75
14/09/20171.7% Treasury Bond 2037450450100.861.648%1.7467.5517.5
13/07/20170.8% Treasury Bond 2022500500103.77-0.009%2.340500
13/07/20172% Treasury Bond 20452502501011.953%2.130250
08/06/20171% Treasury Bond 2026700700102.410.720%2.25105805
08/06/20172% Treasury Bond 2045300300101.811.915%1.8445345
12/04/20173.9% Treasury Bond 2023550550121.740.202%1.882.5632.5
12/04/20171% Treasury Bond 2026700700100.550.936%1.6105805
09/03/20172% Treasury Bond 204540040096.122.187%20400
09/03/20171% Treasury Bond 202685085099.61.046%1.70850
9/2/20171% Treasury Bond 202665065099.771.0262.00650
9/2/20170.8% Treasury Bond 2022600600103.610.0882.00600
3/11/20162.4% Treasury Bond 2030750750117.920.9781%2.5818.75768.75
13/10/20161% Treasury Bond 202610001000104.710.495%2.0301030
08/09/20161% Treasury Bond 202610001000106.370.33%2.4501000
12/05/20160.8% Treasury Bond 2022750750103.730.157%2.6101.25851.25
14/04/20161% Treasury Bond 2026750750101.760.82%2.40750
11/02/20161% Treasury Bond 202610001000100.010.999%1.801000
08/10/20152.4% Treasury Bond 203010001000109.611.653%2.2801000
10/09/20152.4% Treasury Bond 203010001000107.461.8157%2.7556.31,056.30
11/06/20152.4% Treasury Bond 2030750750102.312.22%2.85112.5862.5
14/05/20150.8% Treasury Bond 202275075099.910.81%2.7112.5862.5
12/03/20152% Treasury Bond 204510001000117.071.31%2.101000
12/02/20152.4% Treasury Bond 2030500500111.281.56%3.1575575
09/10/20143.4% Treasury Bond 202410001000115.351.63%2.501000
10/07/20143.4% TreasuryBond 2024500500103.92.32%2.70500
08/05/20143.4% Treasury Bond 2024750750105.72.73%2.8112.5862.5
10/04/20143.4% Treasury Bond 202410001000104.112.92%2.824.451024.45
13/03/20143.4% Treasury Bond 202410001000103.72.97%2.901000

Irish Treasury Bill Auction Results

Auction dateMaturity dateISINCompetitive
Amount
Sold (€m)
Bid/Cover RatioIssue yield (%)Non-competitive
Amount
Sold (€m)
Total
Amount
Sold (€m)
21/09/201724/09/2018IE00BDHDPP205003.39-0.50%Nil500
15/06/201718/06/2018IE00BDHDPN065002.81-0.41Nil500
16/03/201719/03/2018IE00BV8C9C905002.66-0.43Nil500
15/12/201618/12/2017IE00BV8C99625002.66-0.42Nil500
15/09/201618/09/2017IE00BV8C98555003.17-0.363.6503.6
16/06/201619/12/2016IE00BV8C97495002.69-0.22Nil500
10/03/201619/09/2016IE00BV8C95255002.94-0.22Nil500
21/05/201523/11/2015IE00BV8C93015003.41-0.03Nil500
19/03/201521/09/2015IE00BV8C92935003.93-0.01Nil500
29/01/201504/08/2015IE00BV8C90795003.4900.78500.78
20/11/201425/05/2015IE00BJ38CT665003.750.044Nil500
18/09/201422/12/2014IE00BJ38CP295004.980Nil500
19/06/201422/09/2014IE00BJ38CN055004.20.105Nil500
15/05/201418/08/2014IE00B89L81695003.50.22Nil500
20/03/201423/06/2014IE00B4W2SW955003.80.2Nil500
19/09/201323/12/2013IE00B62JNC955003.30.18Nil500
18/07/201321/10/2013IE00B78JLT335003.60.2Nil500
20/06/201323/09/2013IE00B94759305002.90.2Nil500
16/05/201319/08/2013IE00B8V8CK295003.60.129Nil500
18/04/201322/07/2013IE00B54T0F255004.80.1955505
21/03/201324/06/2013IE00B7VNXK715003.40.24Nil500
21/02/201320/05/2013IE00B8N4J5285003.30.24Nil500
17/01/201322/04/2013IE00B7RQGR865003.80.2Nil500
15/11/201218/02/2013IE00B8K1XQ515004.10.5515.2515.2
18/10/201221/01/2013IE00B8XDD5715003.60.7Nil500
13/09/201217/12/2012IE00B8KDHK345003.030.7Nil500
05/07/201215/10/2012IE00B8N4J4115002.81.812.5512.5

Source: NTMA