3 % Federal Treasury notes of 2008 (2010)
due on 12 March 2010
annual coupon date 12 March
interest has begun to accrue on 12 March 2008
first interest payment on 12 March 2009
ISIN DE0001137214 // SIN 113 721 was as follows:
Bids € 9,175.00 mn
Competitive bids € 5,755.00 mn
Non-competitive bids € 3,420.00 mn
Allotment € 6,599.00 mn
- Lowest accepted price 99.570 %
- Weighted average price 99.590 %
- Average yield 3.22 %
- Allotment
- for bids at the lowest accepted price 40 %
- for non-competitive bids 100 %
- Cover ratio 1.4
Amount set aside for secondary market operations € 1,401.00 mn
Issue volume € 8,000.00 mn