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-Bonds05/12/20283.125%EU-Bonds04/12/20312.500%EU-Bonds04/07/20343.250%ISINEU000A3K4EN5EU000A3L1DJ0EU000A3K4D41Date of auction19/05/202519/05/202519/05/2025Settlement date21/05/202521/05/202521/04/2025Maturity05/12/202804/12/203104/07/2034Volume bids *3 3342 9141 596Volume allotment *2 3001 6631 190Old outstanding amount *14 57015 00017 151New outstanding amount *16 87016 66318 341Weighted average price102.744%98.639%101.907%Lowest accepted price102.730%98.610%101.890%% awarded at lowest accepted price56.22%100.00%100.00%Weighted average yield2.307%2.729%3.007%Cover ratio1.451.751.34* in millions of euros Details Publication date19 May 2025LocationLuxembourg