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Gross issuances of debt securities of Austrian issuers
End of period
Q2 23
Q3 23
Q4 23
Sep. 23
Oct. 23
Nov. 23
Dec. 23
Jan. 24
Feb. 24
Marketvalue; EUR million
Gross issuances - total
Financial corporations
57,886
33,371
20,458
8,008
10,423
6,282
3,753
14,002
8,273
Monetary financial institutions
57,474
33,049
19,514
7,859
10,208
5,666
3,640
13,799
7,583
of which fixed rate
48,658
30,739
16,898
6,535
8,686
5,189
3,024
8,474
6,616
of which variable rate
8,816
2,310
2,616
1,324
1,522
477
617
5,325
968
Investmentfunds
0
0
0
0
0
0
0
0
0
Financial auxiliaries
9
9
425
3
3
417
5
5
5
Captive financial institutions and money lenders
244
150
155
28
43
84
28
28
26
Other financial intermediaries (except insurance corporations and pension funds)
106
110
322
101
154
102
65
157
646
Insurance corporations
53
54
42
18
15
13
14
13
12
Pension funds
0
0
0
0
0
0
0
0
0
Government sector
27,073
32,962
23,649
9,136
16,048
5,864
1,737
16,976
9,021
of which fixed rate
27,049
32,937
23,624
9,127
16,039
5,857
1,729
16,967
9,013
of which variable rate
24
25
25
8
9
8
9
9
8
Nonfinancial corporations
2,050
1,140
2,061
128
553
1,142
366
101
244
Total
87,009
67,474
46,168
17,271
27,023
13,288
5,856
31,080
17,538
Gross issuances in EUR
Financial corporations
33,211
21,494
13,428
6,435
5,754
4,976
2,698
10,767
6,372
Monetary financial institutions
33,107
21,324
12,642
6,316
5,582
4,446
2,613
10,744
6,306
of which fixed rate
24,304
19,024
10,034
4,995
4,063
3,972
1,999
5,422
5,341
of which variable rate
8,803
2,301
2,608
1,321
1,519
474
614
5,322
965
Investmentfunds
0
0
0
0
0
0
0
0
0
Financial auxiliaries
9
9
425
3
3
417
5
5
5
Captive financial institutions and money lenders
32
2
2
1
1
1
1
1
1
Other financial intermediaries (except insurance corporations and pension funds)
10
105
317
98
153
99
65
4
48
Insurance corporations
53
54
42
18
15
13
14
13
12
Pension funds
0
0
0
0
0
0
0
0
0
Government sector
24,456
27,912
19,765
6,930
12,799
5,233
1,733
15,877
7,523
of which fixed rate
24,433
27,889
19,741
6,922
12,790
5,226
1,725
15,869
7,515
of which variable rate
22
24
23
8
8
7
8
8
8
Nonfinancial corporations
1,473
1,073
1,608
108
523
741
344
80
212
Total
59,140
50,480
34,801
13,472
19,076
10,949
4,776
26,724
14,106
Gross issuances in foreign currencies
Financial corporations
24,675
11,878
7,030
1,573
4,669
1,306
1,055
3,235
1,901
Monetary financial institutions
24,367
11,725
6,872
1,543
4,625
1,220
1,027
3,055
1,277
of which fixed rate
24,354
11,715
6,864
1,540
4,623
1,217
1,024
3,053
1,274
of which variable rate
13
9
8
3
3
2
3
3
2
Investmentfunds
0
0
0
0
0
0
0
0
0
Financial auxiliaries
0
0
0
0
0
0
0
0
0
Captive financial institutions and money lenders
212
148
153
27
43
83
27
28
26
Other financial intermediaries (except insurance corporations and pension funds)
96
5
5
3
1
3
1
152
598
Insurance corporations
0
0
0
0
0
0
0
0
0
Pension funds
0
0
0
0
0
0
0
0
0
Government sector
2,617
5,050
3,885
2,206
3,249
632
4
1,099
1,498
of which fixed rate
2,615
5,048
3,883
2,206
3,249
631
3
1,098
1,497
of which variable rate
2
2
2
1
1
1
1
1
1
Nonfinancial corporations
577
66
452
20
29
401
22
22
33
Total
27,869
16,994
11,367
3,799
7,947
2,339
1,080
4,356
3,432
Gross issuances with short term original maturity
Financial corporations
40,134
25,405
11,302
3,855
6,741
2,825
1,736
2,234
3,846
Monetary financial institutions
40,104
25,405
11,302
3,855
6,741
2,825
1,736
2,083
3,712
of which fixed rate
40,104
25,390
11,288
3,855
6,737
2,823
1,728
2,076
3,711
of which variable rate
0
15
15
0
3
2
9
7
1
Investmentfunds
0
0
0
0
0
0
0
0
0
Financial auxiliaries
0
0
0
0
0
0
0
0
0
Captive financial institutions and money lenders
30
0
0
0
0
0
0
0
0
Other financial intermediaries (except insurance corporations and pension funds)
0
0
0
0
0
0
0
152
134
Insurance corporations
0
0
0
0
0
0
0
0
0
Pension funds
0
0
0
0
0
0
0
0
0
Government sector
11,892
26,093
11,139
5,995
7,446
3,465
228
6,102
5,905
of which fixed rate
11,892
26,093
11,139
5,995
7,446
3,465
228
6,102
5,905
of which variable rate
0
0
0
0
0
0
0
0
0
Nonfinancial corporations
388
5
223
1
1
2
221
1
1
Total
52,414
51,503
22,664
9,851
14,187
6,291
2,185
8,337
9,752
Gross issuances with long term original maturity
Financial corporations
17,751
7,966
9,156
4,153
3,682
3,457
2,017
11,768
4,427
Monetary financial institutions
17,369
7,644
8,212
4,004
3,467
2,840
1,904
11,716
3,872
of which fixed rate
8,553
5,349
5,611
2,680
1,948
2,366
1,296
6,398
2,905
of which variable rate
8,816
2,295
2,601
1,324
1,519
474
608
5,318
967
Investmentfunds
0
0
0
0
0
0
0
0
0
Financial auxiliaries
9
9
425
3
3
417
5
5
5
Captive financial institutions and money lenders
214
150
155
28
43
84
28
28
26
Other financial intermediaries (except insurance corporations and pension funds)
106
110
322
101
154
102
65
5
512
Insurance corporations
53
54
42
18
15
13
14
13
12
Pension funds
0
0
0
0
0
0
0
0
0
Government sector
15,181
6,870
12,511
3,141
8,602
2,400
1,509
10,875
3,115
of which fixed rate
15,157
6,844
12,486
3,133
8,593
2,392
1,500
10,866
3,107
of which variable rate
24
25
25
8
9
8
9
9
8
Nonfinancial corporations
1,663
1,135
1,838
127
552
1,140
145
100
244
Total
34,595
15,971
23,504
7,420
12,836
6,997
3,671
22,743
7,786
Source:
OeNB
.
The category "short term original maturity" includes securities with original maturities of less than one-year, while the category "long term original maturity" includes securities with maturities of over one year.
Zero coupon bonds are classified as fixed rate securities in the table.
Issuances and redemptions of monetary financial institutions includes retained bonds.
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Last update on 23.11.2023 00:00