Toggle navigation
DE
EN
User-defined query
metadata
Excel
CSV
Gross issuances of debt securities of Austrian issuers
End of period
2023
2024
Q2 24
Q3 24
Q4 24
Q1 25
Q2 25
Q3 25
Apr. 25
May 25
June 25
July 25
Aug. 25
Sep. 25
Marketvalue; EUR million
Gross issuances - total
Financial corporations
188,191
97,923
23,632
23,371
20,324
38,054
30,997
25,568
10,413
14,051
6,532
8,838
5,767
10,963
Monetary financial institutions
185,154
94,697
23,153
22,621
19,587
34,772
29,882
23,476
9,866
13,683
6,332
8,206
5,707
9,563
of which fixed rate
163,019
72,724
16,536
19,336
14,981
22,278
23,266
16,770
9,189
9,800
4,278
5,529
4,187
7,054
of which variable rate
22,135
21,973
6,617
3,285
4,605
12,494
6,615
6,706
678
3,884
2,054
2,677
1,520
2,509
Investmentfunds
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Financial auxiliaries
451
76
15
15
31
265
5
17
2
2
2
2
2
13
Captive financial institutions and money lenders
800
334
83
82
85
84
91
710
30
31
29
26
26
658
Other financial intermediaries (except insurance corporations and pension funds)
1,575
2,665
342
615
585
2,897
681
1,327
203
322
156
590
19
718
Insurance corporations
211
150
38
38
37
36
338
38
312
13
13
13
13
12
Pension funds
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Government sector
132,291
135,499
35,426
36,573
29,857
40,984
43,017
32,256
23,159
9,975
9,883
12,601
7,533
12,121
of which fixed rate
132,191
135,304
35,052
35,848
29,736
39,713
41,598
30,539
22,753
8,968
9,877
11,445
7,478
11,616
of which variable rate
100
195
374
724
122
1,270
1,419
1,717
406
1,007
6
1,156
55
506
Nonfinancial corporations
5,621
7,380
1,125
1,736
3,812
1,194
2,264
3,368
378
194
1,692
1,542
151
1,675
Total
326,102
240,802
60,182
61,679
53,993
80,231
76,278
61,193
33,951
24,220
18,107
22,981
13,451
24,760
Gross issuances in EUR
Financial corporations
117,771
73,801
17,125
18,100
14,945
29,740
26,290
18,032
8,743
11,795
5,752
6,621
4,350
7,061
Monetary financial institutions
116,573
73,146
16,934
17,891
14,837
29,291
25,905
17,090
8,412
11,771
5,722
6,442
4,323
6,324
of which fixed rate
94,525
51,236
10,323
14,611
10,278
16,827
19,300
10,389
7,736
7,889
3,676
3,767
2,804
3,817
of which variable rate
22,048
21,909
6,611
3,280
4,559
12,464
6,604
6,701
676
3,882
2,046
2,675
1,519
2,508
Investmentfunds
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Financial auxiliaries
451
76
15
15
31
265
5
17
2
2
2
2
2
13
Captive financial institutions and money lenders
94
8
2
2
2
2
15
15
5
5
5
5
5
5
Other financial intermediaries (except insurance corporations and pension funds)
442
420
136
154
38
146
28
873
12
5
10
159
7
707
Insurance corporations
211
150
38
38
37
36
338
38
312
13
13
13
13
12
Pension funds
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Government sector
107,618
117,928
30,709
32,241
24,829
35,382
36,454
24,547
19,899
8,268
8,287
9,621
6,068
8,858
of which fixed rate
107,525
117,740
30,338
31,519
24,710
34,113
35,037
22,831
19,494
7,262
8,281
8,465
6,014
8,353
of which variable rate
93
187
372
722
120
1,269
1,417
1,716
406
1,006
5
1,156
55
505
Nonfinancial corporations
4,428
6,488
1,048
1,657
3,150
653
2,192
2,984
355
169
1,668
1,204
128
1,652
Total
229,816
198,217
48,882
51,999
42,924
65,776
64,936
45,563
28,997
20,233
15,706
17,446
10,545
17,572
Gross issuances in foreign currencies
Financial corporations
70,420
24,122
6,507
5,271
5,379
8,313
4,707
7,536
1,670
2,256
780
2,217
1,417
3,902
Monetary financial institutions
68,581
21,551
6,219
4,730
4,750
5,481
3,977
6,387
1,454
1,913
610
1,764
1,384
3,238
of which fixed rate
68,494
21,488
6,213
4,725
4,703
5,451
3,966
6,381
1,453
1,911
602
1,762
1,383
3,237
of which variable rate
88
64
5
5
47
30
11
5
2
2
8
2
1
2
Investmentfunds
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Financial auxiliaries
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Captive financial institutions and money lenders
705
326
81
80
83
82
76
695
25
26
25
21
21
653
Other financial intermediaries (except insurance corporations and pension funds)
1,133
2,245
206
461
546
2,751
654
455
191
317
146
431
13
11
Insurance corporations
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Pension funds
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Government sector
24,673
17,571
4,716
4,331
5,028
5,602
6,563
7,709
3,260
1,707
1,596
2,981
1,465
3,263
of which fixed rate
24,666
17,563
4,715
4,329
5,026
5,600
6,561
7,707
3,260
1,706
1,595
2,980
1,465
3,263
of which variable rate
7
8
2
2
2
2
2
2
1
1
1
1
1
1
Nonfinancial corporations
1,193
892
77
79
662
540
72
384
24
25
24
338
24
23
Total
96,286
42,585
11,300
9,681
11,069
14,455
11,342
15,629
4,954
3,987
2,400
5,535
2,906
7,188
Gross issuances with short term original maturity
Financial corporations
126,600
49,296
10,655
15,604
12,184
14,775
16,475
13,053
7,843
5,952
2,680
5,119
3,441
4,494
Monetary financial institutions
126,514
47,806
10,515
15,312
11,690
14,471
15,845
12,623
7,660
5,643
2,542
4,696
3,436
4,491
of which fixed rate
126,472
47,779
10,513
15,302
11,683
14,454
15,802
12,623
7,657
5,608
2,537
4,696
3,436
4,491
of which variable rate
42
27
2
10
7
17
43
0
3
35
5
0
0
0
Investmentfunds
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Financial auxiliaries
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Captive financial institutions and money lenders
86
0
0
0
0
0
0
0
0
0
0
0
0
0
Other financial intermediaries (except insurance corporations and pension funds)
0
1,491
140
292
495
305
630
430
183
309
138
423
4
3
Insurance corporations
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Pension funds
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Government sector
80,556
83,074
20,559
23,402
21,503
23,232
23,024
20,313
11,641
6,940
4,443
9,032
5,179
6,101
of which fixed rate
80,556
83,074
20,559
23,402
21,503
23,232
23,024
20,313
11,641
6,940
4,443
9,032
5,179
6,101
of which variable rate
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Nonfinancial corporations
620
495
259
6
222
3
251
11
1
1
250
4
7
1
Total
207,776
132,866
31,472
39,013
33,909
38,010
39,751
33,377
19,484
12,893
7,373
14,155
8,627
10,596
Gross issuances with long term original maturity
Financial corporations
61,591
48,626
12,977
7,767
8,140
23,278
14,522
12,515
2,571
8,100
3,852
3,719
2,326
6,469
Monetary financial institutions
58,640
46,892
12,638
7,309
7,897
20,301
14,036
10,853
2,207
8,040
3,790
3,510
2,271
5,072
of which fixed rate
36,546
24,945
6,024
4,034
3,299
7,824
7,464
4,147
1,532
4,192
1,741
834
751
2,563
of which variable rate
22,094
21,946
6,615
3,275
4,598
12,477
6,572
6,706
675
3,849
2,049
2,677
1,520
2,509
Investmentfunds
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Financial auxiliaries
451
76
15
15
31
265
5
17
2
2
2
2
2
13
Captive financial institutions and money lenders
714
334
83
82
85
84
91
710
30
31
29
26
26
658
Other financial intermediaries (except insurance corporations and pension funds)
1,575
1,174
202
323
90
2,593
52
897
20
13
18
168
15
715
Insurance corporations
211
150
38
38
37
36
338
38
312
13
13
13
13
12
Pension funds
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Government sector
51,735
52,425
14,867
13,170
8,354
17,752
19,993
11,943
11,518
3,035
5,440
3,569
2,354
6,020
of which fixed rate
51,635
52,230
14,494
12,446
8,233
16,481
18,574
10,226
11,112
2,028
5,434
2,413
2,299
5,514
of which variable rate
100
195
374
724
122
1,270
1,419
1,717
406
1,007
6
1,156
55
506
Nonfinancial corporations
5,001
6,885
867
1,729
3,590
1,191
2,013
3,357
378
193
1,442
1,538
144
1,675
Total
118,327
107,936
28,710
22,667
20,084
42,221
36,528
27,815
14,467
11,328
10,733
8,827
4,825
14,164
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.
Edit table:
Years
from
2023
2024
to
2023
2024
Quarters
from
2023
2024
2025
1
2
3
4
to
2023
2024
2025
1
2
3
4
Months
from
2023
2024
2025
1
2
3
4
5
6
7
8
9
10
11
12
to
2023
2024
2025
1
2
3
4
5
6
7
8
9
10
11
12
Fix header:
Dyn. dimension:
Facevalue
Marketvalue
Refresh table
Original table
Last update on 03.03.2025 00:00