Government bond registry

Finnish government bonds

Complete, always up-to-date list of Finnish government bonds outstanding: with ISIN, coupon type, currency, maturity and trading venue. Data from the official EU register (FIRDS/ESMA), refreshed weekly.

44 bonds outstanding · EU register data updated 31 August 2026
Matures fromto44 bonds
BondISINTypeCouponCurrencyMaturityExchange
Finland 0% — Sep 2026
FINLAND/DISC GOVT20260915 GOVT
FI4000511449Zero coupon0%EUR2026-09-15Börse Hamburg
Finland 0% — Oct 2026
FINLAND/ZERO CPN TB 20261013 GOVT
FI4000602560Zero coupon0%EUR2026-10-13not on a retail exchange
Finland 0% — Nov 2026
FINLAND/ZERO CPN TB 20261113 GOVT
FI4000598396Zero coupon0%EUR2026-11-13Börse Hamburg
Finland 0% — Nov 2026
FINLAND/ZERO CPN TB 20261118 GOVT
FI4000606223Zero coupon0%USD2026-11-18not on a retail exchange
Finland 0% — Jan 2027
FINLAND/ZERO CPN TB 20270120 GOVT
FI4000606231Zero coupon0%USD2027-01-20not on a retail exchange
Finland 0% — Feb 2027
FINLAND/ZERO CPN TB 20270215 GOVT
FI4000602230Zero coupon0%EUR2027-02-15Börse Hamburg
Finland 1.375% — Apr 2027
FINLAND/1.375 GOVT20270415 UNGTD
FI4000527551Fixed rate1.375%EUR2027-04-15Börse Hamburg
Finland 0% — May 2027
FINLAND/ZERO CPN TB 20270513 UNGTD
FI4000606033Zero coupon0%EUR2027-05-13Börse Hamburg
Finland 0.5% — Sep 2027
FINLAND/0.5 GOVT20270915 UNGTD
FI4000278551Fixed rate0.5%EUR2027-09-15Börse Hamburg
Finland 2.75% — Jul 2028
FINLAND/2.75 GOVT20280704 UNGTD
FI4000037635Fixed rate2.75%EUR2028-07-04Börse Hamburg
Finland 0.5% — Sep 2028
FINLAND/0.5 GOVT20280915 UNGTD
FI4000348727Fixed rate0.5%EUR2028-09-15Börse Hamburg
Finland 2.875% — Apr 2029
FINLAND/2.875 GOVT20290415 UNGTD
FI4000557525Fixed rate2.875%EUR2029-04-15Börse Hamburg
Finland 0.5% — Sep 2029
FINLAND/0.5 GOVT20290915 UNGTD
FI4000369467Fixed rate0.5%EUR2029-09-15Börse Hamburg
Finland 2.5% — Apr 2030
FINLAND/2.5 GOVT20300415 UNGTD
FI4000577952Fixed rate2.5%EUR2030-04-15Börse Hamburg
Finland 0.875% — May 2030
REPUBLIC OF FIN/.875EMTN 20300520
XS2177026155Fixed rate0.875%USD2030-05-20Börse Frankfurt · Börse München +2
Finland 0.875% — May 2030
FINLAND REP EUR/TRA # TR 20300520
US31788DAJ37Fixed rate0.875%USD2030-05-20not on a retail exchange
Finland 0% — Sep 2030
FINLAND/DISC GOVT20300915 UNGTD
FI4000441878Zero coupon0%EUR2030-09-15Börse Hamburg
Finland 3.625% — Nov 2030
REPUBLIC OF FIN/3.625EMTN 20301104
XS3222747936Fixed rate3.625%USD2030-11-04Börse Frankfurt · Börse Stuttgart +1
Finland 3.625% — Nov 2030
FINLAND REP/BD 20301104 GOVERNMENT
US317873BJ59Fixed rate3.625%USD2030-11-04Nasdaq Helsinki
Finland 0.75% — Apr 2031
FINLAND/0.75 GOVT20310415 UNGTD
FI4000148630Fixed rate0.75%EUR2031-04-15Börse Hamburg
Finland 0.125% — Sep 2031
FINLAND/0.125 GOVT20310915 UNGTD
FI4000507231Fixed rate0.125%EUR2031-09-15Börse Hamburg
Finland 2.625% — Apr 2032
FINLAND/2.625 GOVT20320415 UNGTD
FI4000591862Fixed rate2.625%EUR2032-04-15Börse Hamburg
Finland 1.5% — Sep 2032
FINLAND/1.5 GOVT20320915 UNGTD
FI4000523238Fixed rate1.5%EUR2032-09-15Börse Hamburg
Finland 3.3% — Apr 2033
FINLAND/3.3 GOVT20330415 GOVT
FI4000609516Fixed rate3.3%EUR2033-04-15Borsa Italiana · Börse Frankfurt +3
Finland 3% — Sep 2033
FINLAND/3.0 GOVT20330915 UNGTD
FI4000550249Fixed rate3%EUR2033-09-15Börse Hamburg
Finland 1.125% — Apr 2034
FINLAND/1.125 GOVT20340415 UNGTD
FI4000306758Fixed rate1.125%EUR2034-04-15Börse Hamburg
Finland 4.375% — Jul 2034
REPUBLIC OF FIN/4.375EMTN 20340702
XS2853088362Fixed rate4.375%USD2034-07-02Nasdaq Helsinki
Finland 4.375% — Jul 2034
FINLAND REP/SR NT 20340702 SR SR 14
US317873BH93Fixed rate4.375%USD2034-07-02not on a retail exchange
Finland 3% — Sep 2034
FINLAND/3.0 GOVT20340915 UNGTD
FI4000571104Fixed rate3%EUR2034-09-15Börse Hamburg
Finland 3% — Sep 2035
FINLAND/3.0 GOVT20350915 UNGTD
FI4000587415Fixed rate3%EUR2035-09-15Börse Hamburg
Finland 0.125% — Apr 2036
FINLAND/0.125 GOVT20360415 UNGTD
FI4000415153Fixed rate0.125%EUR2036-04-15Börse Hamburg
Finland 3.23% — Apr 2036
REPUBLIC OF FIN/3.23EMTN 20360415
XS3295724804Fixed rate3.23%SEK2036-04-15Nasdaq Helsinki
Finland 4.5% — Jun 2036
REPUBLIC OF FIN/1EMTN 20360603 GTE
XS3396019336Fixed rate4.5%USD2036-06-03Börse Hamburg
Finland 4.5% — Jun 2036
FINLAND REP/NT 20360603 SR 144A
US317873BK23Fixed rate4.5%USD2036-06-03Nasdaq Helsinki
Finland 3.35% — Sep 2036
FINLAND/3.35 GOVT20360915 GOVT
FI4000602891Fixed rate3.35%EUR2036-09-15Börse Hamburg
Finland 2.75% — Apr 2038
FINLAND/2.75 GOVT20380415 UNGTD
FI4000546528Fixed rate2.75%EUR2038-04-15Börse Hamburg
Finland 0.25% — Sep 2040
FINLAND/0.25 GOVT20400915 UNGTD
FI4000440557Fixed rate0.25%EUR2040-09-15Börse Hamburg
Finland 3.55% — Apr 2041
FINLAND/3.55 GOVT20410415 GOVT
FI4000598776Fixed rate3.55%EUR2041-04-15Börse Hamburg
Finland 2.625% — Jul 2042
FINLAND/2.625 GOVT20420704 UNGTD
FI4000046545Fixed rate2.625%EUR2042-07-04Börse Hamburg
Finland 0.5% — Apr 2043
FINLAND/0.5 GOVT20430415 UNGTD
FI4000517677Fixed rate0.5%EUR2043-04-15Börse Hamburg
Finland 3.2% — Apr 2045
FINLAND/3.2 GOVT20450415 UNGTD
FI4000586284Fixed rate3.2%EUR2045-04-15Börse Hamburg
Finland 1.375% — Apr 2047
FINLAND/1.375 GOVT20470415 UNGTD
FI4000242870Fixed rate1.375%EUR2047-04-15Börse Hamburg
Finland 0.125% — Apr 2052
FINLAND/0.125 GOVT20520415 UNGTD
FI4000480488Fixed rate0.125%EUR2052-04-15Börse Hamburg
Finland 2.95% — Apr 2055
FINLAND/2.95 GOVT20550415 UNGTD
FI4000566294Fixed rate2.95%EUR2055-04-15Börse Hamburg
NoteThis is an informational registry of objective data, not investment advice or an offer to buy. It does not show market prices. Information comes from the public EU register and may contain delays or inaccuracies: always verify with your broker.
Sources: reference data from ESMA (FIRDS); issuer identifiers from GLEIF (LEI, CC0 licence). Rebalix is not affiliated with or endorsed by ESMA or GLEIF.

Frequently asked questions

What are the main Finnish government bonds called?

The state issues bonds with different maturities and coupon types; the nature is the same: a loan to the state. The table on this page lists them all.

How many Finnish government bonds are outstanding?

Right now the official EU register (FIRDS/ESMA) reports 44 not yet matured. The list on this page refreshes weekly, together with the register.

Does it include prices and yields?

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.

What does ISIN mean?

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.

Guides & tools

European government bonds: the guideYield calculatorBond glossary
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