The European Commission, on behalf of the European Union, has today carried out an EU-Bonds auction. The results of this auction are as follows: EU-Bonds 06/07/2026 0.000% EU-Bonds 04/02/2037 0.400% ISIN EU000A3KTGV8 EU000A3K4C42 Date of auction 24/10/2022 24/10/2022 Settlement date 26/10/2022 26/10/2022 Maturity 06/07/2026 04/02/2037 Volume bids * 3 337 2 671 Volume allotment * 2 450 1 450 Old outstanding amount * 16 489 16 998 New outstanding amount * 18 939 18 448 Weighted average price 90.55 66.70 Lowest accepted price 90.48 66.55 % awarded at lowest accepted price 52.35% 65.60% Weighted average yield 2.724% 3.378% Cover ratio 1.36 1.84 * in millions of euros Details Publication date24 October 2022LocationLuxembourg