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Gross issuances of debt securities of Austrian issuers
End of period
2023
Q1 24
Q2 24
Q3 24
Apr. 24
May 24
June 24
July 24
Aug. 24
Sep. 24
Marketvalue; EUR million
Gross issuances - total
Financial corporations
188,191
30,168
23,559
23,339
8,920
8,159
6,480
8,361
7,043
7,935
Monetary financial institutions
185,154
29,372
23,098
22,598
8,822
8,051
6,226
8,181
6,642
7,775
of which fixed rate
163,019
21,905
16,482
19,313
6,572
6,064
3,845
7,794
5,568
5,951
of which variable rate
22,135
7,468
6,617
3,285
2,250
1,986
2,381
387
1,074
1,824
Investmentfunds
0
0
0
0
0
0
0
0
0
0
Financial auxiliaries
451
15
15
15
5
5
5
5
5
5
Captive financial institutions and money lenders
800
83
83
82
28
28
28
28
27
27
Other financial intermediaries (except insurance corporations and pension funds)
1,575
660
324
606
53
62
209
134
356
116
Insurance corporations
211
38
38
38
12
13
12
13
13
12
Pension funds
0
0
0
0
0
0
0
0
0
0
Government sector
132,291
33,335
34,915
35,873
12,337
12,110
10,467
11,646
8,375
15,852
of which fixed rate
132,191
33,310
34,891
35,848
12,329
12,103
10,459
11,638
8,366
15,844
of which variable rate
100
25
24
24
8
8
8
8
8
8
Nonfinancial corporations
5,621
493
1,129
1,730
122
645
362
441
118
1,171
Total
326,102
63,997
59,603
60,942
21,379
20,915
17,308
20,448
15,536
24,958
Gross issuances in EUR
Financial corporations
117,771
23,666
17,070
18,077
6,690
5,270
5,110
6,745
5,579
5,754
Monetary financial institutions
116,573
23,519
16,880
17,868
6,621
5,190
5,069
6,705
5,542
5,621
of which fixed rate
94,525
16,058
10,268
14,588
4,373
3,205
2,691
6,320
4,469
3,799
of which variable rate
22,048
7,461
6,611
3,280
2,248
1,985
2,378
385
1,072
1,823
Investmentfunds
0
0
0
0
0
0
0
0
0
0
Financial auxiliaries
451
15
15
15
5
5
5
5
5
5
Captive financial institutions and money lenders
94
2
2
2
1
1
1
1
1
1
Other financial intermediaries (except insurance corporations and pension funds)
442
92
136
154
51
62
23
21
18
115
Insurance corporations
211
38
38
38
12
13
12
13
13
12
Pension funds
0
0
0
0
0
0
0
0
0
0
Government sector
107,618
29,840
30,310
31,541
8,854
11,913
9,543
10,136
6,838
14,568
of which fixed rate
107,525
29,817
30,288
31,519
8,846
11,906
9,535
10,128
6,830
14,561
of which variable rate
93
23
22
22
8
7
7
8
8
7
Nonfinancial corporations
4,428
419
1,051
1,651
102
608
341
420
80
1,151
Total
229,816
53,926
48,431
51,270
15,645
17,792
14,994
17,302
12,496
21,472
Gross issuances in foreign currencies
Financial corporations
70,420
6,502
6,489
5,262
2,231
2,889
1,369
1,616
1,464
2,181
Monetary financial institutions
68,581
5,853
6,219
4,730
2,201
2,861
1,157
1,476
1,100
2,154
of which fixed rate
68,494
5,847
6,213
4,725
2,200
2,859
1,155
1,474
1,098
2,153
of which variable rate
88
7
5
5
2
2
2
2
2
2
Investmentfunds
0
0
0
0
0
0
0
0
0
0
Financial auxiliaries
0
0
0
0
0
0
0
0
0
0
Captive financial institutions and money lenders
705
81
81
80
27
28
27
28
27
26
Other financial intermediaries (except insurance corporations and pension funds)
1,133
568
189
452
2
1
186
113
338
1
Insurance corporations
0
0
0
0
0
0
0
0
0
0
Pension funds
0
0
0
0
0
0
0
0
0
0
Government sector
24,673
3,495
4,605
4,331
3,483
197
925
1,510
1,537
1,284
of which fixed rate
24,666
3,493
4,603
4,329
3,483
197
924
1,509
1,536
1,284
of which variable rate
7
2
2
2
1
1
1
1
1
1
Nonfinancial corporations
1,193
74
77
79
20
37
20
21
38
20
Total
96,286
10,071
11,171
9,672
5,734
3,123
2,314
3,147
3,039
3,485
Gross issuances with short term original maturity
Financial corporations
126,600
10,885
10,586
15,574
4,544
3,084
2,957
6,815
4,781
3,979
Monetary financial institutions
126,514
10,323
10,460
15,286
4,544
3,084
2,831
6,772
4,535
3,979
of which fixed rate
126,472
10,316
10,458
15,276
4,544
3,084
2,829
6,770
4,535
3,970
of which variable rate
42
7
2
10
0
0
2
2
0
8
Investmentfunds
0
0
0
0
0
0
0
0
0
0
Financial auxiliaries
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
Other financial intermediaries (except insurance corporations and pension funds)
0
563
126
288
0
0
126
43
245
0
Insurance corporations
0
0
0
0
0
0
0
0
0
0
Pension funds
0
0
0
0
0
0
0
0
0
0
Government sector
80,556
16,253
20,397
23,402
8,248
5,976
6,173
9,142
7,710
6,550
of which fixed rate
80,556
16,253
20,397
23,402
8,248
5,976
6,173
9,142
7,710
6,550
of which variable rate
0
0
0
0
0
0
0
0
0
0
Nonfinancial corporations
620
9
259
6
1
7
251
1
1
4
Total
207,776
27,147
31,242
38,983
12,793
9,067
9,382
15,958
12,491
10,533
Gross issuances with long term original maturity
Financial corporations
61,591
19,283
12,973
7,765
4,376
5,075
3,522
1,547
2,262
3,956
Monetary financial institutions
58,640
19,049
12,638
7,312
4,278
4,966
3,395
1,409
2,106
3,797
of which fixed rate
36,546
11,589
6,024
4,037
2,028
2,980
1,016
1,024
1,032
1,981
of which variable rate
22,094
7,460
6,615
3,275
2,249
1,986
2,379
385
1,074
1,816
Investmentfunds
0
0
0
0
0
0
0
0
0
0
Financial auxiliaries
451
15
15
15
5
5
5
5
5
5
Captive financial institutions and money lenders
714
83
83
82
28
28
28
28
27
27
Other financial intermediaries (except insurance corporations and pension funds)
1,575
97
198
318
53
62
83
91
110
116
Insurance corporations
211
38
38
38
12
13
12
13
13
12
Pension funds
0
0
0
0
0
0
0
0
0
0
Government sector
51,735
17,083
14,517
12,470
4,089
6,135
4,294
2,504
665
9,302
of which fixed rate
51,635
17,057
14,494
12,446
4,081
6,127
4,286
2,495
657
9,294
of which variable rate
100
25
24
24
8
8
8
8
8
8
Nonfinancial corporations
5,001
484
870
1,723
121
638
111
440
117
1,166
Total
118,327
36,850
28,360
21,959
8,586
11,848
7,927
4,490
3,044
14,424
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 18.11.2024 15:58