Issue result for Confederation bonds
Bern, 08.07.2026 — The Swiss Confederation issued two bonds by auction on 08.07.2026: 2.25%, maturity 22.06.2031 (reopening) and 2.50%, maturity 08.03.2036 (reopening). The issuance volume (excluding own holdings) amounts to a total of 359.985 million francs.
Interest rate: 2.25%
Maturity: 22.06.2031
Amount: CHF 111.430 million (0 million own holdings)
Issue price: 110.05%
Yield p.a.: 0.194%
Total bids: CHF 191.430 million
Allotment in last price category: 100%
Offers without price details: CHF 73.130 million
Settlement: 22.07.2026
ISIN no. (until settlement): CH1544304111
Fungible with ISIN no.: CH0127181029
Interest rate: 2.50%
Maturity: 08.03.2036
Amount: CHF 248.555 million (0 million own holdings)
Issue price: 120.20%
Yield p.a.: 0.361%
Total bids: CHF 377.355 million
Allotment in last price category: 100%
Offers without price details: CHF 131.205 million
Settlement: 22.07.2026
ISIN no. (until settlement): CH1544304129
Fungible with ISIN no.: CH0024524966
Reuters: SWIW, Bloomberg: SWIT
Swiss Confederation Bonds are subject to important legal restrictions, including selling restrictions, which can be accessed via the following link:
