Main refinancing operation – Allotment Tender-ID: 20260072 | Reverse transaction

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Basic information

Tender-ID: 20260072
Publication Type: Allotment

Details

Transaction Type: Reverse transaction
Operation Type: Main refinancing operation
Tender Procedure: Standard tender
Tender Type: Fixed rate tender
Quotation: Rate
Allotment Date: 18.08.2026 11:30 CET
Value Date: 19.08.2026

Securities information

Maturity date: 26.08.2026
Duration: 7 day(s)
Total Bid Amount: 16,708.5 mn EUR
Number of Bidders: 68
Total Amount of Allotment: 16,708.5 mn EUR
Fixed Rate: 2.4 %
Percentage of Allotment: 100 %