Government Securities


The National Bank of Romania (NBR), acting as the state agent and market administrator, is in charge of the management of primary and secondary markets for government securities in dematerialized form, in both national and foreign currencies, on the domestic market. In this capacity, the NBR organizes and conducts the government securities investment activity and sets the norms on the organization and functioning of the secondary market for government securities, under the NBR management, based on the agreements signed with the Ministry of Finance and in compliance with the NBR Statute and its own regulations. Moreover, the NBR acts as the central depository via SaFIR for all government securities issues in dematerialized form.

Primary Market Operations

ISIN Type Issuance/ Reopening date Maturity date Rezidual maturity
(months)
Base auction volume (mill.) Non-competitive session volume (mill.) Currency Avg Yield Rate
(% p.a.)
Max Yield Rate
(% p.a.)
Coupon Rate
(% p.a.)
Announced Subscribed Alloted Announced Subscribed Alloted
RO7EKTXSRHD6GB, interest25 Nov.202428 Jan.2026 14700.0312.0252.0105.0--Lei6.336.346.30
RODFIUK7ZV55GB, interest25 Nov.202425 Apr.2035 125500.0778.8500.075.0--Lei7.157.166.75
ROP9QVD42HO2GB, interest20 Nov.202431 May.2027 30700.0287.10.0105.0--Lei--7.20
ROYNCLHRHVV6GB, interest18 Nov.202429 Jul.2030 68500.0790.0500.075.010.010.0Lei6.876.886.85
ROTM7EDD92S2GB, interest13 Nov.202431 Jul.2034 117600.0731.7600.090.00.00.0Lei6.956.967.10
ROJVM8ELBDU4GB, interest11 Nov.202425 Apr.2029 53700.01,119.0700.0105.0395.0105.0Lei6.796.796.30
ROOYW8TJIY78TC, discount11 Nov.202427 Oct.2025 12400.0604.5400.0---Lei5.945.97-
RON7NMKOKQG2GB, interest6 Nov.202428 Oct.2026 24500.0635.1500.075.0240.075.0Lei6.256.257.20
ROZBOC49U096GB, interest4 Nov.202430 Oct.2028 48500.0849.4500.075.010.010.0Lei6.596.608.75
RO0DU3PR9NF9GB, interest30 Oct.202424 Feb.2038 160400.0618.4419.360.011.411.4Lei6.916.917.90

»»» GB = Government Bonds, TC = Treasury Certificates

 

Buy-back Operations

(latest 10 operations)
ISIN Type   Settlement   date    Maturity     date Rezidual maturity
(months)
Auction value (mill.) Currency Average Yield rate
(% p.a.)
Coupon Rate
(% p.a.)
Announced  Subscribed  Alloted
RO1522DBN056GB, interest 24 Jun.2022 19 Dec.2022650.0150.00.0RON-3.50

more »»» GB = Government Bonds,

 

Exchange operations

(latest 5 auctions)
ISIN Type     Auction     date     Maturity    date Rezidual maturity
(months)
Auction Nominal value (mill.) Currency Average Yield
(% p.a.)
Coupon Rate
(% p.a.)
Announced Subscribed* Alloted
ROTM7EDD92S2 GB, interest 22 Nov.2024 31 Jul.2034116200.0269.6200.0RON7.097.10
RODD24CXRK47 GB, interest 22 Nov.2024 28 Jul.20258-227.7144.4RON-3.65
RO1425DBN029 GB, interest 22 Nov.2024 24 Feb.20253-72.358.8RON-4.75
RODFIUK7ZV55 GB, interest 31 Oct.2024 25 Apr.2035126200.0292.4200.0RON6.946.75
RODD24CXRK47 GB, interest 31 Oct.2024 28 Jul.20259-234.2152.4RON-3.65
RO1425DBN029 GB, interest 31 Oct.2024 24 Feb.20254-119.851.2RON-4.75
RO0DU3PR9NF9 GB, interest 10 Oct.2024 24 Feb.2038161200.0513.8450.4RON6.717.90
RO1425DBN029 GB, interest 10 Oct.2024 24 Feb.20255-538.8463.4RON-4.75
RO0TLVC1MCW4 GB, interest 10 Oct.2024 25 Nov.20242-91.742.4RON-3.70
RO3B41D8EX14 GB, interest 30 Aug.2024 25 Jul.202959200.0495.6431.1RON6.434.85
RO1425DBN029 GB, interest 30 Aug.2024 24 Feb.20256-239.5229.5RON-4.75
RO0TLVC1MCW4 GB, interest 30 Aug.2024 25 Nov.20243-220.7167.5RON-3.70
ROWLVEJ2A207 GB, interest 19 Aug.2024 30 Oct.2033110200.0357.0334.5RON6.637.20
RO1425DBN029 GB, interest 19 Aug.2024 24 Feb.20256-254.4241.4RON-4.75
RODD24CXRK47 GB, interest 19 Aug.2024 28 Jul.202511-134.5122.9RON-3.65

more »»»Titluri new/reopend issues in exchange with old issues
*) Subscribed value is based on new/reopened issues only

 

Government Securities Outstanding

ISIN code Total alloted nominal amount
(mill.)
Currency Type     Issuance     date     Maturity     date Discount rate
(% p.a.)
Coupon rate
(% p.a.)
Maturity
(years)
RO0TLVC1MCW4 11,143.26LeiGB 15 Jul.2020 25 Nov.2024-3.70 4.4
ROS3X04VIMF5 399.61EuroTC 29 Nov.2023 27 Nov.20244.01- 1
ROZV22LVN7Y2 3,497.76LeiTC 27 May.2024 27 Nov.20245.85- 0.5
ROL2KUQU0G92 955.04LeiTC 22 Jan.2024 20 Jan.20255.67- 1
RO7QK1HCA6H4 1,600.52LeiTC 8 Jul.2024 27 Jan.20255.80- 0.6
ROVKA2NSGY63 767.32LeiTC 7 Feb.2024 29 Jan.20255.63- 1
RO550ZKFEUK3 123.75EuroGB 14 Dec.2023 14 Feb.2025-4.40 1.2
RO1425DBN029 11,585.08LeiGB 30 Jul.2014 24 Feb.2025-4.75 10.6
ROWZRTRBXVD3 1,024.82LeiTC 18 Mar.2024 26 Feb.20255.70- 0.9
ROCN9C5SFV13 436.58LeiTC 7 Aug.2024 24 Mar.20255.59- 0.6

»»» GB = Government Bonds, TC = Treasury Certificates

 

Reference Rates

(12:00) - %
  BID ASK
Maturity 6M 12M 3Y 5Y 10Y 6M 12M 3Y 5Y 10Y
21 Nov 20246.086.156.616.967.205.775.826.386.746.98
20 Nov 20246.056.096.586.957.165.765.806.366.736.93
19 Nov 20246.076.066.576.947.155.765.806.346.726.92
18 Nov 20246.066.076.566.937.155.765.796.336.716.93
15 Nov 20246.076.076.566.937.155.765.796.336.706.93

»»»  

Secondary Market Operations

(daily averages)
Period RON EUR
Number Volume
(RON mill.)
Number Volume
(EUR mill.)
daily series
20 Nov.2024207 3,590.43 12.1
19 Nov.2024149 1,851.45 14.4
18 Nov.2024221 4,399.23 0.8
15 Nov.2024149 3,423.11 0.2
14 Nov.2024126 5,368.65 3.0
monthly series
Oct.2024 167 3,830.7 4 15.9
Sep.2024 132 2,621.1 5 6.7
Aug.2024 144 2,619.1 3 5.4
Jul.2024 137 2,850.1 3 1.4
Jun.2024 169 2,460.3 2 13.6
May.2024 226 2,373.9 3 3.5

»»»