0.00% Federal bond 2021 (2036)

ISIN DE0001102549
WKN 110254
Type 15-year Federal bond
Price (24.09.2021) 99.76 -0.96%
Yield 0.02% +0.07 PP

Issuance data

Issuer Federal Republic of Germany
Maturity segment 15 years
Issuance volume 18,000,000,000 €
Issuance currency
Issuance date 03.03.2021
Maturity 15.05.2036
Smallest tradable unit 0.01 €
Stock-market listing yes
Eligibility for security gilt-edged
Terms of issue Download (PDF)

Coupon data

Coupon in % 0.00
Payable annually
Interest calculated from 05.03.2021
First interest payment 15.05.2022
Interest calculation actual/actual (ICMA)

Tender Dates
Date Type Volume Maturity segment
27.10.2021 Reopening 2,000 € m 15 years
24.11.2021 Reopening 2,000 € m 15 years
Auction Results
Bids and allotted volumes

Price and yield data are Deutsche Bundesbank reference prices.

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