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  • THE AGENCY (PDMA)
    • BACKGROUND
    • PURPOSE
    • BOARD OF DIRECTORS
    • ORGANIZATIONAL STRUCTURE
  • PUBLIC DEBT
    • KEY PARAMETERS
      • GENERAL GOVERNMENT DEBT PARAMETERS
      • LEVEL - DEBT MATURITY PROFILE
      • WEIGHTED AVERAGE MATURITY
      • ANNUAL SERVICE COST
      • PORTFOLIO RISK PARAMETERS
      • COMPOSITION OF DEBT
        • COMPOSITION BY CURRENCY
        • COMPOSITION BY FUNDING INSTRUMENT
        • COMPOSITION BY CREDITOR
      • GROSS ANNUAL NEW BORROWING
        • COMPOSITION OF GROSS ANNUAL NEW BORROWING
        • WEIGHTED AVERAGE COST / MATURITY OF GROSS NEW ANNUAL BORROWING
      • CREDIT RATING
    • FUNDING POLICY AND LIABILITY MANAGEMENT
      • STRATEGY
      • FUNDING POLICY
      • LIABILITY MANAGEMENT
  • DEBT INSTRUMENTS - GREEK GOVERNMENT BONDS
    • ANNOUNCEMENTS
    • ISSUANCE CALENDAR & SYNDICATION AND AUCTION RESULTS
      • ISSUANCE CALENDAR
      • LATEST RESULTS
        • T-BILLS AUCTION
        • BOND AUCTION - SYNDICATION
      • T-BILLS HISTORICAL DATA
        • 4 WEEK
        • 13 WEEK
        • 26 WEEK
        • 52 WEEK
        • T-BILLS HISTORICAL INTEREST RATES
      • BOND HISTORICAL DATA
        • 3 YEAR
        • 5 YEAR
        • 7 YEAR
        • 10 YEAR
        • 15 YEAR
        • 20 YEAR
        • 30 YEAR
    • BENCHMARK BONDS OUTSTANDING
    • BONDS ALLOCATION - PRIMARY MARKET
      • BONDS ALLOCATION ISSUED 2005-2010
      • BONDS ALLOCATION ISSUED 2014
      • BONDS ALLOCATION ISSUED 2017
      • BONDS ALLOCATION ISSUED 2018
      • BONDS ALLOCATION ISSUED 2019
      • BONDS ALLOCATION ISSUED 2020
      • BONDS ALLOCATION ISSUED 2021
      • BONDS ALLOCATION ISSUED 2022
      • BONDS ALLOCATION ISSUED 2023
      • BONDS ALLOCATION ISSUED 2024
      • BONDS ALLOCATION ISSUED 2025
    • PRIMARY DEALERS
  • ECONOMIC INDICATORS

GGB allocation 2014

 

Allocation by Geography

 

Allocation by Type of Investor

GGB allocation 2005 - 2010

Allocation by Geography

Allocation by Type of Investor

BONDS ALLOCATION - PRIMARY MARKET

LATEST RESULTS

30 YEAR

 

30 YEAR BOND HISTORICAL  DATA (mln euro)
                 
SETTLEMENT DATE   MATURITY DATE C P N AMOUNT AUCTIONED AMOUNT OFFERED AMOUNT ACCEPTED YIELD  PRICE
25/3/2025 REOPENING 15/6/2054 4,125% 1.000 21.500 1.000 4,408% 95,383%
2/5/2024 NEW ISSUE 15/6/2054 4,125% 3.000 33.089 3.000   98,057
8/9/2021 REOPENING 24/1/2052 1,875% 1.000 9.600 1.000   104,730
24/3/2021 NEW ISSUE 24/1/2052 1,875% 2.500 25.851 2.500   98.140

 

 

  1. 7 YEAR
  2. 10 YEAR
  3. 5 YEAR
  4. 3 YEAR

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