---
source: Deutsche Finanzagentur
url: https://www.deutsche-finanzagentur.de/fileadmin/user_upload/Institutionelle-investoren/auktionen/emissionsergebnisse_aktuell_en.pdf
document_type: pdf
date_retrieved: 2026-04-20T10:03:12.722346+00:00
period: 2026-04-20
parent_publication: Auction Results
indicators_covered: ["5-Month Bubill Yield", "11-Month Bubill Yield"]
---

```text
                                                                                    Auction Results
                                                                                                                                          Non-                                                                       Bid-
                                                                               Issuance                                     Competi-                Allotted     Lowest    Weighted                     Retention
                                                                   Maturity-                         Issuance       Bids                competi-                                        Average                      to-
No.     Date           ISIN              1   Coupon    Maturity                 volume           2                          tive Bids               Volumes     accepted   Average                       Quote
                                  Bond                             segment                Type                 6   (€ m)                tive Bids                                                   4               Cover-
                                                                                 (€ m)               process                  (€ m)                  (€ m)        Price             3   Yield (%)         (€ m)
                                                                                                                                          (€ m)                             Price                                           5
                                                                                                                                                                                                                    Ratio

1     2026-01-05   DE000BU0E287   Bubill              2026-04-15     12 M         2,000    R          M-A           3,590       2,510       1,080    1,400.00   99.46147   99.46174         1.988          600.00      2.6

1     2026-01-05   DE000BU0E345   Bubill              2026-10-14     12 M         2,000    R          M-A           3,885       3,085         800    1,140.00   98.46299   98.46450         2.005          860.00      3.4

2     2026-01-06   DE000BU22114   Schatz      2.00%   2027-12-16      2Y          6,000    R           Auc          8,765       5,235       3,530    4,547.00      99.79     99.791          2.11        1,453.00      1.9

3     2026-01-07   DE000BU2Z064   Bund        2.90%   2036-02-15     10 Y         6,000    N           Auc          5,875       1,885       3,990    4,542.10     100.58     100.60          2.83        1,457.90      1.3

4     2026-01-12   DE000BU0E311   Bubill              2026-07-15     12 M         2,000    R          M-A           3,949       3,604         345    1,569.00   99.00198   99.00595         1.986          431.00      2.5

4     2026-01-12   DE000BU0E360   Bubill              2027-01-13     12 M         3,000    N          M-A           5,990       4,035       1,955    2,465.00   98.01203   98.01398         2.004          535.00      2.4

5     2026-01-13   DE000BU25067   Bobl        2.50%   2031-04-16      5Y          6,000    N           Auc          6,483       2,745       3,738    4,596.60     100.16     100.16          2.47        1,403.40      1.4

6     2026-01-14   DE0001135432   Bund        3.25%   2042-07-04     30 Y         1,000    R          M-A            799          255         544     700.92      100.17     100.23          3.23          299.08      1.1

6     2026-01-14   DE0001102572   Bund        0.00%   2052-08-15     30 Y         1,000    R          M-A           1,235         526         709     809.37       40.56      40.58          3.45          190.63      1.5

6     2026-01-14   DE000BU2D012   Bund        2.90%   2056-08-15     30 Y         1,000    R          M-A           1,722         537       1,185     822.45       89.69      89.70          3.45          177.55      2.1

7     2026-01-19   DE000BU0E303   Bubill              2026-06-17     12 M         2,000    R          M-A           3,992       3,120         872    1,522.00   99.19638   99.19678         1.983          478.00      2.6

7     2026-01-19   DE000BU0E378   Bubill              2026-12-09     12 M         3,000    N          M-A           6,305       4,930       1,375    2,105.00   98.24514   98.24773         1.994          895.00      3.0

8     2026-01-21   DE000BU2F009   Bund        2.60%   2041-05-15     15 Y         1,000    R          M-A           2,024         805       1,219     776.03       92.51      92.52          3.23          223.97      2.6

8     2026-01-21   DE000BU2D012   Bund        2.90%   2056-08-15     30 Y         1,000    R          M-A           1,897         605       1,292     785.56       88.89      88.95          3.49          214.44      2.4

9     2026-01-27   DE000BU22122   Schatz      2.10%   2028-03-15      2Y          6,000    N           Auc          9,777       4,060       5,717    4,632.65     99.925     99.925          2.14        1,367.35      2.1

      2026-01-27   DE000BU2T000   Bund        3.40%   2047-05-15     20 Y         6,500    N           Syn                                           5,500.00                99.921         3.404        1,000.00

10    2026-01-28   DE000BU2Z064   Bund        2.90%   2036-02-15     10 Y         6,000    R           Auc          7,606       3,851       3,755    4,604.40     100.43     100.44          2.85        1,395.60      1.7

11    2026-02-02   DE000BU0E295   Bubill              2026-05-13     12 M         2,000    R          M-A           5,560       4,235       1,325    1,625.00   99.46254   99.46254         1.985          375.00      3.4

11    2026-02-02   DE000BU0E352   Bubill              2026-11-18     12 M         2,000    R          M-A           6,460       5,085       1,375    1,660.00   98.43985   98.44062         1.987          340.00      3.9

12    2026-02-03   DE000BU3Z047   Green       2.50%   2035-02-15     10 Y         1,500    R           Auc          2,719       1,070       1,649    1,353.87      97.73      97.74          2.79          146.13      2.0

13    2026-02-04   DE000BU27014   Bund        2.50%   2032-11-15      7Y          4,000    R           Auc          4,819       2,625       2,194    3,196.62      99.34      99.35          2.60          803.38      1.5

14    2026-02-09   DE000BU0E311   Bubill              2026-07-15     12 M         2,000    R          M-A           4,745       3,745       1,000    1,925.00    99.1618   99.16180         1.976           75.00      2.5

14    2026-02-09   DE000BU0E360   Bubill              2027-01-13     12 M         2,000    R          M-A           4,867       3,927         940    1,677.00   98.18193   98.18373         1.982          323.00      2.9
                                                                                    Auction Results
                                                                                                                                          Non-                                                                       Bid-
                                                                               Issuance                                     Competi-                Allotted     Lowest    Weighted                     Retention
                                                                   Maturity-                         Issuance       Bids                competi-                                        Average                      to-
No.     Date           ISIN              1   Coupon    Maturity                 volume           2                          tive Bids               Volumes     accepted   Average                       Quote
                                  Bond                             segment                Type                 6   (€ m)                tive Bids                                                   4               Cover-
                                                                                 (€ m)               process                  (€ m)                  (€ m)        Price             3   Yield (%)         (€ m)
                                                                                                                                          (€ m)                             Price                                           5
                                                                                                                                                                                                                    Ratio

15    2026-02-10   DE000BU25067   Bobl        2.50%   2031-04-16      5Y          5,000    R           Auc          6,297       2,752       3,545    3,811.05     100.48     100.48          2.40        1,188.95      1.7

16    2026-02-11   DE000BU2D004   Bund        2.50%   2054-08-15     30 Y         1,000    R          M-A           1,157         615         542     749.48       82.63      82.67          3.47          250.52      1.5

16    2026-02-11   DE000BU2D012   Bund        2.90%   2056-08-15     30 Y         1,500    R          M-A           1,893         931         962    1,160.42      89.25      89.26          3.47          339.58      1.6

17    2026-02-16   DE000BU0E329   Bubill              2026-08-19     12 M         2,000    R          M-A           4,615       3,520       1,095    1,600.00   99.01041   99.01140         1.975          400.00      2.9

17    2026-02-16   DE000BU0E386   Bubill              2027-02-17     12 M         3,000    N          M-A           5,155       3,405       1,750    2,375.00   98.03243   98.03243         1.985          625.00      2.2

18    2026-02-17   DE000BU22122   Schatz      2.10%   2028-03-15      2Y          6,000    R           Auc          8,147       3,935       4,212    4,590.24     100.15    100.152          2.02        1,409.76      1.8

19    2026-02-18   DE000BU2Z064   Bund        2.90%   2036-02-15     10 Y         5,500    R           Auc          6,197       2,898       3,299    4,238.07     101.43     101.44          2.73        1,261.93      1.5

20    2026-02-25   DE0001102598   Bund        1.00%   2038-05-15     15 Y         1,000    R          M-A           1,592         590       1,002     821.04       80.38      80.39          2.93          178.96      1.9

20    2026-02-25   DE000BU2F009   Bund        2.60%   2041-05-15     15 Y         1,000    R          M-A           2,299         850       1,449     853.17       94.07      94.08          3.09          146.83      2.7

21    2026-03-02   DE000BU0E303   Bubill              2026-06-17     12 M         2,000    R          M-A           5,085       3,600       1,485    1,835.00   99.42726   99.42726         1.975          165.00      2.8

21    2026-03-02   DE000BU0E378   Bubill              2026-12-09     12 M         2,000    R          M-A           4,460       3,115       1,345    1,705.00   98.47808   98.47808         1.987          295.00      2.6

22    2026-03-03   DE000BU25067   Bobl        2.50%   2031-04-16      5Y          5,000    R           Auc          4,569       1,635       2,934    3,825.32      100.3     100.31          2.43        1,174.68      1.2

      2026-03-03   DE000BU2F009   Bund        2.60%   2041-05-15     15 Y         1,000    R           OH                                                                                                1,000.00

      2026-03-03   DE000BU3F007   Green       2.60%   2041-05-15     15 Y         4,000    N           Syn                                           3,000.00                93.552         3.140        1,000.00

23    2026-03-04   DE000BU3Z005   Green       2.30%   2033-02-15     10 Y         1,000    R           Auc          1,690         890         800     960.00       98.58      98.58          2.53           40.00      1.8

24    2026-03-09   DE000BU0E329   Bubill              2026-08-19     12 M         2,000    R          M-A           1,373         990         383     583.00    99.06079   99.06299         2.115        1,417.00      2.4

24    2026-03-09   DE000BU0E386   Bubill              2027-02-17     12 M         2,000    R          M-A           3,738       2,160       1,578     989.00    97.87112   97.87477         2.279        1,011.00      3.8

25    2026-03-10   DE000BU22122   Schatz      2.10%   2028-03-15      2Y          5,000    R           Auc          6,214       2,310       3,904    3,871.08      99.67     99.674          2.27        1,128.92      1.6

26    2026-03-11   DE000BU2Z064   Bund        2.90%   2036-02-15     10 Y         5,000    R           Auc          4,511       1,960       2,551    3,811.00     100.02     100.05          2.89        1,189.00      1.2

27    2026-03-16   DE000BU0E337   Bubill              2026-09-16     12 M         2,000    R          M-A           6,092       4,232       1,860    1,472.00    98.9386   98.93909         2.121          528.00      4.1

27    2026-03-16   DE000BU0E394   Bubill              2027-03-17     12 M         3,000    N          M-A           5,550       3,425       2,125    2,325.00   97.75628   97.75628         2.270          675.00      2.4

28    2026-03-18   DE0001102341   Bund        2.50%   2046-08-15     30 Y         1,000    R          M-A           1,899         691       1,208     757.36       87.45      87.47          3.36          242.64      2.5

28    2026-03-18   DE000BU2D012   Bund        2.90%   2056-08-15     30 Y         1,500    R          M-A           1,961         890       1,071    1,148.28      89.66      89.70          3.45          351.72      1.7
                                                                                            Auction Results
                                                                                                                                                    Non-                                                                        Bid-
                                                                                      Issuance                                        Competi-                Allotted      Lowest    Weighted                     Retention
                                                                          Maturity-                           Issuance        Bids                competi-                                         Average                      to-
No.        Date           ISIN                1   Coupon      Maturity                 volume             2                           tive Bids               Volumes      accepted   Average                       Quote
                                       Bond                               segment                  Type                 6    (€ m)                tive Bids                                                    4               Cover-
                                                                                        (€ m)                 process                   (€ m)                  (€ m)         Price             3   Yield (%)         (€ m)
                                                                                                                                                    (€ m)                              Price                                           5
                                                                                                                                                                                                                               Ratio

29      2026-03-24   DE000BU25067       Bobl        2.50%   2031-04-16       5Y           5,000      R          Auc           3,858       1,445       2,413     3,548.00      98.94      98.97          2.72        1,452.00      1.1

30      2026-03-25   DE000BU2F009       Bund        2.60%   2041-05-15      15 Y          1,000      R         M-A            2,037         842       1,195      866.05       91.87      91.88          3.29          133.95      2.4

30      2026-03-25   DE0001102572       Bund        0.00%   2052-08-15      30 Y          1,000      R         M-A            1,401         692         709      859.57       41.19      41.20          3.42          140.43      1.6

31      2026-03-30   DE000BU0E311       Bubill              2026-07-15      12 M          2,000      R         M-A            3,767       2,623       1,144     1,892.00   99.37596   99.37654         2.151          108.00      2.0

31      2026-03-30   DE000BU0E360       Bubill              2027-01-13      12 M          3,000      R         M-A            4,845       3,073       1,772     2,923.40   98.05739   98.06045         2.481           76.60      1.7

32      2026-03-31   DE000BU22122      Schatz       2.10%   2028-03-15       2Y           5,000      R          Auc           5,735       2,800       2,935     3,811.00     99.005     99.014          2.62        1,189.00      1.5

33      2026-04-01   DE000BU27014       Bund        2.50%   2032-11-15       7Y           4,000      R          Auc           3,387       1,390       1,997     3,052.00      98.31      98.33          2.78          948.00      1.1

34      2026-04-07   DE000BU3Z047       Green       2.50%   2035-02-15      10 Y            750      R         M-A             979          422         557      659.00       96.66      96.66          2.93           91.00      1.5

34      2026-04-07   DE0001030724       Green       0.00%   2050-08-15      30 Y            750      R         M-A             532          275         257      387.00       43.88      43.90          3.44          363.00      1.4

35      2026-04-08   DE000BU2Z064       Bund        2.90%   2036-02-15      10 Y          5,000      R          Auc           4,719       2,538       2,181     3,817.19      99.77      99.78          2.92        1,182.81      1.2

36      2026-04-13   DE000BU0E345       Bubill              2026-10-14      12 M          2,000      R         M-A            5,932       3,817       2,115     1,895.00   98.84565   98.84565         2.310          105.00      3.1

36      2026-04-13   DE000BU0E402       Bubill              2027-04-14      12 M          3,000      N         M-A            5,537       3,490       2,047     2,317.00   97.51819   97.51819         2.517          683.00      2.4

37      2026-04-14   DE000BU25067       Bobl        2.50%   2031-04-16       5Y           5,000      R          Auc           4,113       2,115       1,998     3,953.04      98.86      98.88          2.74        1,046.96      1.0

38      2026-04-15   DE0001102432       Bund        1.25%   2048-08-15      30 Y          1,500      R         M-A            2,166       1,352         814     1,261.02       64.9      64.93          3.55          238.98      1.7

38      2026-04-15   DE0001102572       Bund        0.00%   2052-08-15      30 Y            500      R         M-A             748          557         191      463.00       39.71      39.75          3.57           37.00      1.6

38      2026-04-15   DE000BU2D012       Bund        2.90%   2056-08-15      30 Y          1,000      R         M-A            1,128         581         547      779.31       87.48      87.49          3.58          220.69      1.4

39      2026-04-20   DE000BU0E337       Bubill              2026-09-16      12 M          2,000      R         M-A            4,496       2,705       1,791     1,889.52   99.13213   99.13253         2.143          110.48      2.4

39      2026-04-20   DE000BU0E394       Bubill              2027-03-17      12 M          2,000      R         M-A            3,667       2,725         942     1,892.00   97.91942   97.91942         2.325          108.00      1.9

Sum:                                                                                    176,000                             246,605     141,311    105,294    136,701.18                                                          1.8



      Sources: Federal Republic of Germany - Finance Agency, Deutsche Bundesbank

 1 Bund = Federal bond, Bobl = Five-year Federal note, Schatz = Federal Treasury note, Bubill = Federal discount paper, Green = Green Federal security, ILB = inflation linked Federal bond or note
 2 N = new issue, R = reopening
 3 calculated from volume weighted prices of allotted bids
                                                                                 Auction Results
4 yield of average price
5 relation between total bidding volume and total allotted volume
6 Auc = Auction, Syn = Syndicate, M-A = Multi-ISIN, OH = Tap into own holdings

```
