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 04-07-2025 0.800% EU-Bonds 04-07-2034 3.250% ISIN EU000A3K4DJ5 EU000A3K4D41 Date of auction 26-06-2023 26-06-2023 Settlement date 28-06-2023 28-06-2023 Maturity 04-07-2025 04-07-2034 Volume bids * 3 934 2 884 Volume allotment * 2 199 1 814 Old outstanding amount * 15 815 8 395 New outstanding amount * 18 014 10 209 Weighted average price 95.05 101.80 Lowest accepted price 95.02 101.74 % awarded at lowest accepted price 18.05% 100.00% Weighted average yield 3.380% 3.050% Cover ratio 1.79 1.59 * in millions of euros Details Publication date26 June 2023LocationLuxembourg