Complete, always up-to-date list of Austrian government bonds outstanding: Bundesanleihen — with ISIN, coupon type, currency, maturity and trading venue. Data from the official EU register (FIRDS/ESMA), refreshed weekly.
| Bond | ISIN | Type | Coupon | Currency | Maturity ↑ | Exchange |
|---|---|---|---|---|---|---|
| Austria 0% — Sep 2026 REP OEST/ATB 20260924 | AT0000A3QTR4 | Zero coupon | 0% | EUR | 2026-09-24 | Börse Hamburg |
| Austria 0.75% — Oct 2026 REP OEST/0.75 GBD 20261020 1 | AT0000A1K9C8 | Fixed rate | 0.75% | EUR | 2026-10-20 | Börse Hamburg |
| Austria 0% — Oct 2026 REP OEST/ATB 20261029 | AT0000A3TF04 | Zero coupon | 0% | EUR | 2026-10-29 | Börse Hamburg |
| Austria 0% — Nov 2026 REP OEST/ATB 20261126 | AT0000A3VW58 | Zero coupon | 0% | EUR | 2026-11-26 | not on a retail exchange |
| Austria 0% — Jan 2027 REP OEST/ATB 20270128 | AT0000A3VW41 | Zero coupon | 0% | EUR | 2027-01-28 | Börse München · Börse Stuttgart |
| Austria 0.5% — Apr 2027 REP OEST/0.5 GBD 20270420 1 | AT0000A1VGK0 | Fixed rate | 0.5% | EUR | 2027-04-20 | Börse Hamburg |
| Austria 0% — Jun 2027 AUSTRIA, REP.OF/ZERO CPN MTN 202706 | XS2648467491 | Zero coupon | 0% | CHF | 2027-06-30 | Borsa del Lussemburgo |
| Austria 0% — Jun 2027 AUSTRIA, REP.OF/ZERO CPN MTN 202706 | XS2648467145 | Zero coupon | 0% | EUR | 2027-06-30 | Borsa del Lussemburgo |
| Austria 6.25% — Jul 2027 REP OEST/6.25 GBD 20270715 6 | AT0000383864 | Fixed rate | 6.25% | EUR | 2027-07-15 | Börse Hamburg |
| REP OEST/STRIP CPN 20270715 | AT0000384177 | Strip | 0% | EUR | 2027-07-15 | Wiener Börse |
| REP OEST/STRIP PRIN 20270715 6 | AT0000383872 | Strip | 0% | EUR | 2027-07-15 | Börse Berlin · Börse Frankfurt +1 |
| Austria 0.75% — Feb 2028 REP OEST/0.75 GBD 20280220 1 | AT0000A1ZGE4 | Fixed rate | 0.75% | EUR | 2028-02-20 | Börse Hamburg |
| Austria 0% — Oct 2028 REP OEST/0 GBD 20281020 1 | AT0000A2VB47 | Fixed rate | 0% | EUR | 2028-10-20 | Börse Hamburg |
| Austria 0.5% — Feb 2029 REP OEST/0.5 GBD 20290220 1 | AT0000A269M8 | Fixed rate | 0.5% | EUR | 2029-02-20 | Börse Hamburg |
| Austria 2.9% — May 2029 REP OEST/2.9 GBD 20290523 2 | AT0000A33SH3 | Fixed rate | 2.9% | EUR | 2029-05-23 | Börse Hamburg |
| Austria 7.25% — Oct 2029 AUSTRIA, REP.OF/7.25 BD 20291019 | XS0102835237 | Fixed rate | 7.25% | GBP | 2029-10-19 | Borsa del Lussemburgo |
| Austria 3.56% — Oct 2029 AUSTRIA, REP.OF/3.56 MTN 20291019 | XS0749005186 | Fixed rate | 3.56% | EUR | 2029-10-19 | Wiener Börse |
| Austria 2.452% — Oct 2029 AUSTRIA, REP.OF/2.452 MTN 20291019 | XS0749005343 | Fixed rate | 2.452% | EUR | 2029-10-19 | Wiener Börse |
| Austria 2.5% — Oct 2029 REP OEST/2.5 GBD 20291020 3 | AT0000A3EPP2 | Fixed rate | 2.5% | EUR | 2029-10-20 | Börse Hamburg |
| Austria 0% — Feb 2030 REP OEST/0 GBD 20300220 1 | AT0000A2CQD2 | Fixed rate | 0% | EUR | 2030-02-20 | Börse Hamburg |
| Austria floating rate — Mar 2030 REPUBLIK OSTERR/VAREMTN 20300320 G | XS3324775520 | Variable rate | floating | EUR | 2030-03-20 | Wiener Börse |
| Austria 0% — May 2030 REP OEST/ZERO CPN MTN 20300508 | XS3068733180 | Zero coupon | 0% | CHF | 2030-05-08 | Borsa del Lussemburgo |
| Austria 3.45% — Oct 2030 REP OEST/3.45 GBD 20301020 4 | AT0000A38239 | Fixed rate | 3.45% | EUR | 2030-10-20 | Börse Hamburg |
| Austria 0% — Feb 2031 REP OEST/0 GBD 20310220 1 | AT0000A2NW83 | Fixed rate | 0% | EUR | 2031-02-20 | Börse Hamburg |
| Austria 2.85% — Oct 2031 REP OEST/2.85 GBD 20311020 3 | AT0000A3V200 | Fixed rate | 2.85% | EUR | 2031-10-20 | Börse Hamburg |
| Austria 0% — Jan 2032 REPUBLIK OSTERR/ZERO CPNEMTN 203201 | XS1627601906 | Zero coupon | 0% | EUR | 2032-01-14 | Borsa del Lussemburgo |
| Austria 0.9% — Feb 2032 REP OEST/0.9 GBD 20320220 2 | AT0000A2WSC8 | Fixed rate | 0.9% | EUR | 2032-02-20 | Börse Hamburg |
| Austria 2.8% — Sep 2032 REP OEST/2.8 GBD 20320920 2 | AT0000A3NY15 | Fixed rate | 2.8% | EUR | 2032-09-20 | Börse Hamburg |
| Austria 0.518% — Sep 2032 OESTERREICH/0.5175 BD 20320922 SR | CH1450810226 | Fixed rate | 0.5175% | CHF | 2032-09-22 | not on a retail exchange |
| Austria 2.9% — Feb 2033 REP OEST/2.9 GBD 20330220 1 | AT0000A324S8 | Fixed rate | 2.9% | EUR | 2033-02-20 | Börse Hamburg |
| REP OEST/STRIP CPN 20330920 | AT0000A1XMY5 | Strip | 0% | EUR | 2033-09-20 | Wiener Börse |
| Austria 5.125% — Jan 2034 AUSTRIA, REP.OF/5.125 MTN 20340102 | XS0182592062 | Fixed rate | 5.125% | SKK | 2034-01-02 | Borsa del Lussemburgo |
| REP OEST/STRIP CPN 20340220 | AT0000A1K9Z9 | Strip | 0% | EUR | 2034-02-20 | Wiener Börse |
| Austria 2.9% — Feb 2034 REP OEST/2.9 GBD 20340220 1 | AT0000A39UW5 | Fixed rate | 2.9% | EUR | 2034-02-20 | Börse Hamburg |
| Austria 2.4% — May 2034 REP OEST/2.4 GBD 20340523 1 | AT0000A10683 | Fixed rate | 2.4% | EUR | 2034-05-23 | Börse Hamburg |
| Austria floating rate — Oct 2034 AUSTRIA, REP.OF/VAR MTN 20341030 | XS0208462910 | Variable rate | floating | EUR | 2034-10-30 | BME (Madrid) · BME SEND (Spagna) +1 |
| Austria floating rate — Oct 2034 Austria /Austria FRN 30/10/2 | XS0215438705 | Variable rate | floating | EUR | 2034-10-30 | Borsa del Lussemburgo |
| Austria 5.375% — Dec 2034 AT REP/5.375 MED TERM NT U | US052591AS38 | Fixed rate | 5.375% | CAD | 2034-12-01 | Borsa del Lussemburgo · Börse Berlin +3 |
| Austria 2.95% — Feb 2035 REP OEST/2.95 GBD 20350220 1 | AT0000A3HU25 | Fixed rate | 2.95% | EUR | 2035-02-20 | Börse Hamburg |
| Austria 3.455% — Feb 2035 REPUBLIK OSTERR/3.455EMTN 20350222 | XS3241240558 | Fixed rate | 3.455% | EUR | 2035-02-22 | Wiener Börse |
| Austria 0.683% — Feb 2035 OESTERREICH/0.6825 EMTN 20350226 SR | CH1418473448 | Fixed rate | 0.6825% | CHF | 2035-02-26 | Börse Hamburg |
| Austria 3.445% — Mar 2035 REPUBLIK OSTERR/3.445EMTN 20350302 | XS3241239972 | Fixed rate | 3.445% | EUR | 2035-03-02 | Wiener Börse |
| Austria 3.825% — Mar 2035 REPUBLIK OSTERR/3.825EMTN 20350316 | XS3241239030 | Fixed rate | 3.825% | EUR | 2035-03-16 | Wiener Börse |
| Austria 3.91% — Apr 2035 REPUBLIK OSTERR/3.91EMTN 20350405 | XS3241238149 | Fixed rate | 3.91% | EUR | 2035-04-05 | Wiener Börse |
| Austria 4% — Apr 2035 REPUBLIK OSTERR/4EMTN 20350413 GTE | XS3241239543 | Fixed rate | 4% | EUR | 2035-04-13 | Börse Frankfurt · Wiener Börse |
| Austria 4% — May 2035 REPUBLIK OSTERR/4EMTN 20350511 GTE | XS3241239386 | Fixed rate | 4% | EUR | 2035-05-11 | Wiener Börse |
| Austria floating rate — Oct 2035 AUSTRIA, REP.OF/VAR MTN 20351024 | XS0231558858 | Variable rate | floating | EUR | 2035-10-24 | BME (Madrid) · BME SEND (Spagna) +5 |
| Austria 0.843% — Jan 2036 OESTERREICH/0.8425 EMTN 20360129 SR | CH1522175699 | Fixed rate | 0.8425% | CHF | 2036-01-29 | not on a retail exchange |
| Austria floating rate — Feb 2036 REPUBLIK OSTERR/VAREMTN 20360204 G | XS3289050190 | Variable rate | floating | EUR | 2036-02-04 | Wiener Börse |
| REP OEST/STRIP CPN 20360220 | AT0000A1KA18 | Strip | 0% | EUR | 2036-02-20 | Wiener Börse |
| Austria 3.2% — Feb 2036 REP OEST/3.2 GBD 20360220 1 | AT0000A3RVH9 | Fixed rate | 3.2% | EUR | 2036-02-20 | Börse Hamburg |
| Austria floating rate — Feb 2036 REPUBLIK OSTERR/VAREMTN 20360220 G | XS3362312053 | Variable rate | floating | EUR | 2036-02-20 | Wiener Börse |
| Austria 0.25% — Oct 2036 REP OEST/0.25 GBD 20361020 4 | AT0000A2T198 | Fixed rate | 0.25% | EUR | 2036-10-20 | Börse Hamburg |
| Austria 4.15% — Mar 2037 REP OEST/4.15 GBD 20370315 1 | AT0000A04967 | Fixed rate | 4.15% | EUR | 2037-03-15 | Börse Hamburg |
| Austria 0.855% — Jul 2037 OESTERREICH/0.855 EMTN 20370722 SR | CH1461438173 | Fixed rate | 0.855% | CHF | 2037-07-22 | Börse Hamburg |
| Austria 3.2% — Jul 2039 REP OEST/3.2 GBD 20390715 2 | AT0000A3D3Q8 | Fixed rate | 3.2% | EUR | 2039-07-15 | Börse Hamburg |
| Austria 0.84% — May 2040 OESTERREICH/0.84 MTN 20400522 SR | CH1415780118 | Fixed rate | 0.84% | CHF | 2040-05-22 | Borsa Italiana |
| Austria 0.1% — Jul 2040 REPUBLIK OSTERR/.1EMTN 20400710 GT | XS2201935199 | Fixed rate | 0.1% | EUR | 2040-07-10 | Wiener Börse |
| Austria 0% — Oct 2040 REPUBLIK OSTERR/EMTN 20401001 GTEE | XS2251174111 | Fixed rate | 0% | EUR | 2040-10-01 | Wiener Börse |
| Austria 0% — Oct 2040 REP OEST/0 GBD 20401020 5 | AT0000A2KQ43 | Fixed rate | 0% | EUR | 2040-10-20 | Börse Hamburg |
| Austria 1.053% — May 2041 OESTERREICH/1.0525 MTN 20410520 SR | CH1523562028 | Fixed rate | 1.0525% | CHF | 2041-05-20 | Börse Hamburg |
| Austria 3.55% — Sep 2041 REP OEST/3.55 GBD 20410920 4 | AT0000A3V234 | Fixed rate | 3.55% | EUR | 2041-09-20 | Börse Hamburg |
| Austria 3.15% — Jun 2044 REP OEST/3.15 GBD 20440620 4 | AT0000A0VRQ6 | Fixed rate | 3.15% | EUR | 2044-06-20 | Börse Hamburg |
| Austria 1.008% — Jun 2045 OESTERREICH/1.0075 MTN 20450613 SR | CH1415780159 | Fixed rate | 1.0075% | CHF | 2045-06-13 | Borsa Italiana · Börse München +1 |
| Austria 1.008% — Jun 2045 OESTERREICH/1.0075 EMTN 20450613 SR | CH1477661271 | Fixed rate | 1.0075% | CHF | 2045-06-13 | not on a retail exchange |
| Austria 2.99% — Feb 2046 REPUBLIK OSTERR/2.99EMTN 20460209 | XS3241240715 | Fixed rate | 2.99% | EUR | 2046-02-09 | Wiener Börse |
| Austria 2.99% — Feb 2046 REPUBLIK OSTERR/2.99EMTN 20460212 | XS3241286460 | Fixed rate | 2.99% | EUR | 2046-02-12 | Wiener Börse |
| Austria 2.99% — Feb 2046 REPUBLIK OSTERR/2.99EMTN 20460222 | XS3241318339 | Fixed rate | 2.99% | EUR | 2046-02-22 | Wiener Börse |
| Austria 2.99% — Feb 2046 REPUBLIK OSTERR/2.99EMTN 20460227 | XS3241318503 | Fixed rate | 2.99% | EUR | 2046-02-27 | Wiener Börse |
| Austria 1.5% — Feb 2047 REP OEST/1.5 GBD 20470220 2 | AT0000A1K9F1 | Fixed rate | 1.5% | EUR | 2047-02-20 | Börse Hamburg |
| Austria 1.85% — May 2049 REP OEST/1.85 GBD 20490523 3 | AT0000A2Y8G4 | Fixed rate | 1.85% | EUR | 2049-05-23 | Börse Hamburg |
| Austria 1.095% — Mar 2051 OESTERREICH/1.095 EMTN 20510317 SR | CH1538712303 | Fixed rate | 1.095% | CHF | 2051-03-17 | Börse Hamburg |
| Austria 0.75% — Mar 2051 REP OEST/0.75 GBD 20510320 3 | AT0000A2EJ08 | Fixed rate | 0.75% | EUR | 2051-03-20 | Börse Hamburg |
| Austria 3.15% — Oct 2053 REP OEST/3.15 GBD 20531020 3 | AT0000A33SK7 | Fixed rate | 3.15% | EUR | 2053-10-20 | Börse Hamburg |
| Austria 3.75% — Mar 2056 REP OEST/3.75 GBD 20560320 2 | AT0000A3T279 | Fixed rate | 3.75% | EUR | 2056-03-20 | Börse Hamburg |
| Austria 3.8% — Jan 2062 REP OEST/3.8 GBD 20620126 1 | AT0000A0U299 | Fixed rate | 3.8% | EUR | 2062-01-26 | Börse Hamburg |
| Austria 0.7% — Apr 2071 REP OEST/0.7 GBD 20710420 2 | AT0000A2QQB6 | Fixed rate | 0.7% | EUR | 2071-04-20 | Börse Hamburg |
| Austria 0% — Feb 2076 REPUBLIK OSTERR/ZERO CPNEMTN 207602 | XS3296392668 | Zero coupon | 0% | EUR | 2076-02-13 | Wiener Börse |
| Austria 0% — Jun 2077 REPUBLIK OSTERR/ZERO CPNEMTN 207706 | XS2194446725 | Zero coupon | 0% | EUR | 2077-06-24 | Wiener Börse |
| Austria 0% — Jun 2080 REPUBLIK OSTERR/ZERO CPNEMTN 208006 | XS2193853665 | Zero coupon | 0% | EUR | 2080-06-23 | Börse Frankfurt · Wiener Börse |
| Austria 1.5% — Nov 2086 REP OEST/1.5 GBD 20861102 4 | AT0000A1PEF7 | Fixed rate | 1.5% | EUR | 2086-11-02 | Börse Hamburg |
| Austria 2.1% — Sep 2117 REP OEST/2.1 GBD 21170920 3 | AT0000A1XML2 | Fixed rate | 2.1% | EUR | 2117-09-20 | Börse Hamburg |
| REP OEST/STRIP PRIN 21170920 3 | AT0000A1XMM0 | Strip | 0% | EUR | 2117-09-20 | Wiener Börse |
| REP OEST/STRIP CPN 21180630 | AT0000A2HP98 | Strip | 0% | EUR | 2118-06-30 | Wiener Börse |
| REP OEST/STRIP CPN 21190630 | AT0000A2HPA9 | Strip | 0% | EUR | 2119-06-30 | Wiener Börse |
| Austria 0% — Sep 2119 REPUBLIK OSTERR/ZERO CPNEMTN 211909 | XS2050604136 | Zero coupon | 0% | EUR | 2119-09-05 | Börse Hamburg · Börse Hannover +1 |
| Austria 0% — Jun 2120 REPUBLIK OSTERR/ZERO CPNEMTN 203006 | XS2187711572 | Zero coupon | 0% | EUR | 2120-06-10 | Wiener Börse |
| REP OEST/STRIP CPN 21200630 | AT0000A2HPB7 | Strip | 0% | EUR | 2120-06-30 | Wiener Börse |
| Austria 0.85% — Jun 2120 REP OEST/0.85 GBD 21200630 4 | AT0000A2HLC4 | Fixed rate | 0.85% | EUR | 2120-06-30 | Börse Hamburg |
| REP OEST/STRIP PRIN 21200630 4 | AT0000A2HLD2 | Strip | 0% | EUR | 2120-06-30 | Wiener Börse |
The names you'll meet most often are Bundesanleihen. Duration and coupon type change, the nature doesn't: a loan to the state. The table on this page lists them all, whatever the commercial name.
Right now the official EU register (FIRDS/ESMA) reports 90 not yet matured. The list on this page refreshes weekly, together with the register.
No. This is a registry — ISIN, coupon type, currency, maturity, trading venue — not a price list: prices change constantly and you'll see them at your broker. If you have a price, you can estimate the yield to maturity with the Rebalix calculator.
It's the 12-character international code that uniquely identifies each bond: using it with your broker avoids mix-ups between similarly named issues. The other table terms (coupon, maturity, type) are explained in the bond glossary.
Rebalix tracks coupons, maturities and real return across your whole portfolio — ETFs, stocks, bonds and crypto together.
Discover Rebalix