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Short-Term European Paper (STEP)

Yield statistics
Yields on new issues of euro-denominated STEP securities, broken down by sector of the issuer, original time to maturity and rating category for zero coupon instruments, on 27 Mar 2020 (percentages per annum)
Original time to maturity
(in calendar days)
Total issuanceGeneral government and
international organisations
Monetary financial
institutions
Non-financial
corporations
Other financial intermediariesInsurance corporations and
pension funds
All ratings
0 - 7-NDND--ND
8 - 31-0.43---NDND
32 - 91-0.50--NDNDND
92 - 183-NDND-NDND
184 - 274-NDND-NDND
275 - 366-NDND-NDND
of which Rating 1
0 - 7-NDND--ND
8 - 31-ND-NDNDND
32 - 91-ND-NDNDND
92 - 183NDNDNDNDNDND
184 - 274-NDND-NDND
275 - 366NDNDNDNDNDND
of which Rating 2
0 - 7NDNDNDNDNDND
8 - 31NDNDNDNDNDND
32 - 91NDNDNDNDNDND
92 - 183-NDND-NDND
184 - 274NDNDNDNDNDND
275 - 366-NDND-NDND

"ND": data do not exist.
“-”: there are fewer than three issuers for the corresponding category.

Yield spreads above benchmark rates on new issues for euro-denominated STEP securities, broken down by sector of the issuer, original time to maturity and rating category for variable rate instruments, on 27 Mar 2020 (percentage points per annum)
Benchmark rateTotal issuanceGeneral government and
international organisations
Monetary financial
institutions
Non-financial
corporations
Other financial intermediariesInsurance corporations and
pension funds
All ratings
EONIA--NDNDNDND
EURIBOR 1 weekNDNDNDNDNDND
EURIBOR 1 monthNDNDNDNDNDND
EURIBOR 3 monthsNDNDNDNDNDND
EURIBOR 6 monthsNDNDNDNDNDND
EURIBOR 9 monthsNDNDNDNDNDND
EURIBOR 1 yearNDNDNDNDNDND
of which Rating 1
EONIA--NDNDNDND
EURIBOR 1 weekNDNDNDNDNDND
EURIBOR 1 monthNDNDNDNDNDND
EURIBOR 3 monthsNDNDNDNDNDND
EURIBOR 6 monthsNDNDNDNDNDND
EURIBOR 9 monthsNDNDNDNDNDND
EURIBOR 1 yearNDNDNDNDNDND
of which Rating 2
EONIANDNDNDNDNDND
EURIBOR 1 weekNDNDNDNDNDND
EURIBOR 1 monthNDNDNDNDNDND
EURIBOR 3 monthsNDNDNDNDNDND
EURIBOR 6 monthsNDNDNDNDNDND
EURIBOR 9 monthsNDNDNDNDNDND
EURIBOR 1 yearNDNDNDNDNDND

"ND": data do not exist.
“-”: there are fewer than three issuers for the corresponding category.

Spread between the EONIA and the yield on new issues of euro-denominated STEP securities, broken down by sector of the issuer, original time to maturity and rating category for variable rate instruments, on 27 Mar 2020 (percentage points per annum)
Benchmark rate and
original time to maturity (in calendar days)
Total issuanceGeneral government and
international organisations
Monetary financial
institutions
Non-financial
corporations
Other financial intermediariesInsurance corporations and
pension funds
All ratings
OvernightNDNDNDNDNDND
1 week (4-9)NDNDNDNDNDND
1 month (20-40)--NDNDNDND
2 months (50-70)NDNDNDNDNDND
3 months (80-100)NDNDNDNDNDND
6 months (165-195)NDNDNDNDNDND
of which Rating 1
OvernightNDNDNDNDNDND
1 week (4-9)NDNDNDNDNDND
1 month (20-40)--NDNDNDND
2 months (50-70)NDNDNDNDNDND
3 months (80-100)NDNDNDNDNDND
6 months (165-195)NDNDNDNDNDND
of which Rating 2
OvernightNDNDNDNDNDND
1 week (4-9)NDNDNDNDNDND
1 month (20-40)NDNDNDNDNDND
2 months (50-70)NDNDNDNDNDND
3 months (80-100)NDNDNDNDNDND
6 months (165-195)NDNDNDNDNDND

"ND": data do not exist.
“-”: there are fewer than three issuers for the corresponding category.

Daily time series for STEP securities

Amounts outstanding
Drag/swipe to pan the table See at full screen
Total amounts outstanding of STEP debt securities (EUR billions; end-of-period data)
  2019 2020
  Mar. Apr. May June July Aug. Sept. Oct. Nov. Dec. Jan. Feb.
Total issuance 400.5 406.5 404.3 386.3 408.3 416.2 422.5 411.2 388.9 372.9 420.2 413.2

The monthly data include the programmes settled in any securities settlement system during the transitional period. In that period, daily data are not provided.

Total amounts outstanding of STEP debt securities (EUR billions; end-of-period data)
  2019 2020
  Mar. Apr. May June July Aug. Sept. Oct. Nov. Dec. Jan. Feb.
Total issuance 400.5 406.5 404.3 386.3 408.3 416.2 422.5 411.2 388.9 372.9 420.2 413.2

The monthly data include the programmes settled in any securities settlement system during the transitional period. In that period, daily data are not provided.

Monthly time series for STEP securities

Amounts outstanding, broken down by residual maturity (EUR millions; nominal values)
Residual time to maturity27 Mar 202026 Mar 202025 Mar 2020
Amount outstanding% of totalAmount outstanding% of totalAmount outstanding% of total
0 - 723,007630,523830,6688
8 - 3172,0021865,9141667,92617
32 - 91105,09527107,05127101,45225
92 - 183103,50826106,42226111,97728
184 - 27448,0601247,9461250,41412
275 - 36644,0241143,9501143,44611
Total395,695100401,806100405,882100
Amounts outstanding, broken down by sector of the issuer, residual time to maturity and rating category on 27 Mar 2020 (EUR millions; nominal values)
Residual time to maturityTotal issuanceGeneral government and
international organisations
Monetary financial
institutions
Non-financial
corporations
Other financial intermediariesInsurance corporations and
pension funds
All ratings
0 - 723,0078,62311,6082,2175590
8 - 3172,00227,51834,9415,9023,58754
32 - 91105,09513,61877,77710,8092,714177
92 - 183103,5084,77184,00311,8502,639145
184 - 27448,0602,88941,3602,5921,114105
275 - 36644,02448840,4962,4665695
Total395,69557,907290,18535,83611,181486
of which Rating 1
0 - 720,3808,61310,7627502550
8 - 3155,67220,60329,7452,1923,07954
32 - 9182,13712,35162,1665,7931,651177
92 - 18381,4943,86371,6344,6611,191145
184 - 27440,6802,68936,87793376105
275 - 36634,81948834,12720005
Total315,18348,607245,31114,5296,251486
of which Rating 2
0 - 76561017047600
8 - 314,964302,1862,4203280
32 - 9111,989507,2884,4811700
92 - 18312,9723587,5174,6953020
184 - 2744,6342003,2351,116820
275 - 3667,73005,6442,062250
Total42,94564826,04015,2509070
Amounts outstanding, broken down by currency, on 27 Mar 2020 (EUR millions; nominal values)
CurrencyAmount outstanding% of totalNumber of issues% of total
EUR250,86363.42,95265.2
USD88,50122.475216.6
GBP51,40913.064214.2
JPY00.000.0
Other4,9221.21854.1
Total395,695100.04,531100.0

Daily time series for STEP securities

Amounts outstanding by programme
Amounts outstanding of STEP securities by programme and currency from 20 Mar 2020 to 27 Mar 2020
(denominated in EUR millions irrespective of the accounting currency)1
+STEP IDProgram nameProgram ceilingAccounting currencyAmount outstanding
20 Mar 2020
Amount outstanding
27 Mar 2020
+ 0001911 ABN AMRO Bank N.V. Euro-Commercial Paper Programme25,000 381381
+ 0001532 ABN Amro Bank N.V. NEU CP25,000 00
+ 0002546 Achmea Bank NV NEU CP Programme1,500 317317
+ 0002032 ACOSS NEU CP40,000 20,72917,145
+ 0003035 Aegon Euro-commercial Paper Programme2,500 00
+ 0001693 African Development Bank ECP2,000 00
+ 0001970 Agence Centrale des Organismes de Securite Sociale Euro-Commercial Paper Programme40,000 17,43817,301
+ 0002882 Agence France Locale Guaranteed Euro-Commercial Paper Programme1,000 162159
+ 0000161 AIRBUS Finance B.V. Negotiable European Commercial Paper (NEU CP)3,000 1,8851,887
+ 0002743 AMADEUS FINANCE B.V. Guaranteed ECP programme750 730730
+ 0000092 Antalis SA Negotiable European Commercial Paper11,072 2,7502,818
  0003232 Asian Infrastructure Investment Bank, Euro-Commercial Paper Programme5,000 --
+ 0002193 Auchan Holding French Billets de Tresorerie3,000 356347
+ 0003152 AXA Banque NEU CP6,000 4,1134,023
+ 0002433 Banco Bilbao Vizcaya Argentaria S.A Paris Branch NEU CP12,000 2,3622,353
+ 0000930 Banco de Sabadell SA London Branch Euro Commercial Paper Programme3,500 160159
+ 0003301 Banco Santander, S.A., acting through its London Branch Certificate of Deposit Programme20,000 00
+ 0002171 Bank of China Limited NEU CP10,000 2,2051,882
+ 0000226 Banque Federative du Credit Mutuel ECP and CD Programme25,000 13,34912,948
+ 0000081 Banque Federative du Credit Mutuel NEU CP30,000 13,15311,242
+ 0003276 Banque Nomura France NEU CP50 3030
+ 0003221 Barclays Bank Ireland PLC NEU CP5,000 903903
+ 0003115 Barclays Bank PLC NEU CP30,000 5,5805,580
+ 0002754 Barclays Global Commercial Paper Programme40,000 2,8882,898
+ 0000861 Barry Callebaut Services NV Belgian Multi Currency Short-Term Treasury Notes Programm750 433453
+ 0000172 Bayerische Landesbank Multi-Currency Commercial Paper Programme8,000 1,0841,083
+ 0001506 Belfius Bank SA/NV Global Multi Currency Short and Medium Term Certificates of Deposit Programme25,000 2,4292,209
+ 0002513 Belfius Financing Company, societe anonyme, Euro-Commercial Paper Programme10,000 939907
+ 0002903 BGL BNP Paribas Euro-Commercial Paper Programme3,000 726725
+ 0003356 BNG Bank N.V. Euro-commercial paper programme.20,000 502464
+ 0000066 BNP Paribas Fortis SA/NV Global Multi-currency Short Term Certficates of Deposit ProgrammeNaN 5,3295,052
+ 0000055 BNP Paribas Negotiable European Commercial Paper70,000 15,75615,251
+ 0001623 BPCE Euro-Commercial Paper Programme10,000 4,1973,770
+ 0001645 BPCE NEU CP60,000 14,25310,900
+ 0002685 Bpifrance Financement NEU CP6,000 3,4563,296
+ 0001116 BRED Banque Populaire, Negotiable European Commercial Paper12,000 8,8218,090
+ 0003126 Bridgestone Europe NV/SA Euro Commercial Paper Programme500 450450
+ 0002561 Caisse Centrale du Credit Immobilier de France 3CIF Guaranteed Negotiable European Commercial Paper8,000 00
+ 0002710 Caisse Federale du Credit Mutuel Ocean, Negotiable European Commercial Paper1,600 986944
+ 0002663 Cassa Depositi e Prestiti S.p.A. Multi-Currency Commercial Paper Programme6,000 3,5163,516
+ 0002583 Coca-Cola HBC Finance B.V. Guaranteed Euro-Commercial Paper1,000 190175
+ 0001200 Codralux SA MultiCurrency Short-Term Treasury Notes400 3030
+ 0002524 COFACE SA, NEU CP650 500498
+ 0002652 Collateralized Commercial Paper III Co., LLC. Commercial Paper Notes Programme20,000 2,3121,775
+ 0000376 Commerzbank Aktiengesellschaft Euro Commercial Paper Programme10,000 1,6401,519
+ 0000033 Compagnie Generale des Etablissements Michelin CGEM NEU CP2,500 297381
+ 0000941 Cooperatieve Rabobank U.A. NEU CP20,000 00
+ 0002240 Council of Europe Development Bank Euro-Commercial Paper Programme5,000 2,3772,328
  0003130 CP Funding PLC 1 Euro-commercial Paper5,000 --
+ 0000296 Credit Agricole Corporate and Investment Bank Commercial Paper, NEU CP30,000 317315
+ 0002455 Credit Agricole SA NEU CP40,000 11,03510,201
+ 0003265 Credit Municipal de Paris NEU CP1,000 495486
+ 0001510 Credit Mutuel Arkea NEU CP11,500 1,7241,548
+ 0002353 Danske Bank A/S Euro-Commercial Paper and Certificate of Deposit Programme13,000 208206
+ 0001955 Danske Bank A/S, NEU CP10,000 00
+ 0002845 de Volksbank N.V Euro-Commercial Paper Programme4,000 145145
+ 0002856 de Volksbank N.V. NEU CP Programme4,000 225225
+ 0002765 DekaBank Deutsche Girozentrale Commercial Paper Programme15,000 9,4238,744
+ 0002823 Deutsche Apotheker- und Arztebank eG Commercial Paper programme5,000 456455
+ 0002626 Dexia Credit Local Guaranteed Euro-Commercial Paper Programme30,000 10,58510,031
+ 0002262 Dexia Credit Local, Guaranteed Negotiable European Commercial Paper (NEU CP)20,000 1,1431,154
+ 0002801 DIAC S.A. NEU CP1,000 115115
  0003345 DS Smith euro-commercial paper multi-issuer programme1,000 --
+ 0002065 DZ BANK AG Deutsche Zentral-Genossenschaftsbank, Frankfurt am Main, DZ PRIVATBANK S.A., DZ BANK Multi-Issuer Euro Commercial Paper Programme25,000 8,6027,966
+ 0002925 Ecolab Euro-commercial paper programme2,000 200200
+ 0000733 ENI S.p.A and ENI Finance International SA Guaranteed Euro Commercial Paper4,000 607596
  0002951 Erste Group Bank AG Commercial Paper and Certificates of Deposit Programme10,000 --
+ 0003185 Euroclear Bank SA/NV Multi-currency Programme for the issue of short-term Certificates of Deposit20,000 2,1112,095
+ 0000343 European Investment Bank Global Commercial Paper ProgrammeNaN 6,8426,986
+ 0003061 EXOR N.V. Euro-commercial Paper Programme500 1717
  0003046 FCA Bank S.p.A (acting through its Irish branch) Euro-Commercial Paper Programme750 --
+ 0003002 Fincantieri S.p.A Euro-Commercial Paper Programme500 366311
+ 0002860 Fingrid Oyj Euro-Commercial Paper Programme600 165165
+ 0002641 Goldman Sachs International Bank Certificate of Deposit ProgrammeNaN 8,0938,023
+ 0002776 Heineken N.V. Euro-Commercial Paper Programme2,000 1,015763
+ 0001496 HELABA Landesbank Hessen Thuringen Girozentrale Multi Currency Euro Commercial Paper and Euro Certificate of Deposit Programme10,000 3,9323,744
+ 0000926 HELABA Landesbank Hessen Thuringen Girozentrale NEU CP6,000 2,4782,478
+ 0000230 HSBC France NEU CP20,000 8,4208,420
+ 0000766 Iberdrola International BV Euro-Commercial Paper Programme3,000 2,3452,186
  0003334 ICBC Standard Bank Plc Euro-Commercial Paper and Certificate of Deposit Programme1,000 --
+ 0002182 Industrial and Commercial Bank of China Limited acting through its Luxembourg Branch NEU CP2,700 551549
+ 0000135 ING Bank NV ECP and CD Programme20,000 11,97211,481
+ 0001036 ING Bank NV NEU CP20,000 11,10711,109
+ 0003254 International Development Association Bills Programme, Euro-Commercial Paper ProgrammeNaN 2,7582,717
+ 0000215 Intesa Sanpaolo Bank Ireland p.l.c. and Intesa Sanpaolo Bank Luxembourg S.A. Guaranteed Euro Commercial Paper and Certificate of Deposit Programme30,000 7,8976,767
+ 0001383 Intesa Sanpaolo S.p.A NEU CP15,000 00
+ 0001900 Investec Bank plc Euro-Commercial Paper and Certificate of Deposit Programme1,000 00
+ 0002706 IRELAND, acting through NTMA, EURO-COMMERCIAL PAPER PROGRAMME50,000 628648
+ 0002984 Itau BBA International plc Euro-Certificates of Deposit Programme3,000 00
+ 0002940 Johnson Controls International plc euro-commercial paper prorgamme2,000 00
+ 0002936 JT International Financial Services B.V. Guaranteed Euro-Commercial Paper Programme1,000 00
+ 0000755 Jyske Bank A/S NEU CP5,000 3,2392,929
+ 0001415 KBC Bank NV Multi Currency Short Term Certificate of Deposit Programme20,000 4,7228,940
+ 0000274 KfW Multi Currency Commercial Paper Programme70,000 8,9189,315
+ 0001543 Kingdom of Sweden ECP ProgrammeNaN 1,5001,500
+ 0000412 Klepierre S.A. NEU CP1,500 1,4641,464
+ 0001820 Kommunalbanken AS Euro-Commercial Paper5,000 0230
+ 0001671 Kommuninvest i Sverige Aktiebolag (publ) Euro-Commercial Paper10,000 00
+ 0002973 KONINKLIJKE FRIESLANDCAMPINA N.V. Euro-Commercial Paper Programme1,000 665665
+ 0003083 La Banque Postale Euro-Commercial Paper Programme10,000 2,7212,600
+ 0002466 La Banque Postale NEU CP20,000 6,7646,074
+ 0003094 La Poste Euro Commercial Paper500 5555
+ 0000551 La Poste, NEU CP3,000 200210
+ 0000904 Landesbank Baden Wurttemberg Commercial Paper Programme10,000 436434
+ 0001324 Landesbank Baden Wurttemberg NEU CP5,000 8080
+ 0003072 Lloyds Bank Corporate Markets plc Euro-Commercial Paper and Certificate of Deposit Programme5,000 1,2371,236
+ 0001933 Lloyds Bank plc NEU CP15,000 1,2021,202
+ 0000700 Matchpoint Finance plc Negotiable European Commercial Paper20,000 1,4581,658
+ 0001255 Mediobanca International Luxembourg S.A. NEU CP4,000 914759
+ 0001372 Mediobanca International Luxembourg SA Euro Commercial Paper Guaranteed Programme4,000 230230
+ 0002674 Mitsui Co. Financial Services (Europe) Plc Euro-Commercial Paper1,500 00
+ 0001426 MUFG Bank, Ltd. acting through its Paris Branch NEU CP4,000 00
+ 0003024 Multi-currency Commercial Paper of HSH portfoliomanagement AoR1,000 663607
+ 0000963 Munchener Hypothekenbank eG Euro Commercial Paper Programme5,000 445441
+ 0003243 My Money Bank NEU CP500 104102
+ 0003050 N.V. Eneco Beheer Euro-Commercial Paper Programme750 00
+ 0002236 N.V. Nederlandse Gasunie Euro-commercial Paper Programme750 110180
+ 0003013 National Westminster Bank plc Euro-Commercial Paper Programme20,000 1,4401,424
+ 0000770 Natixis Negotiable European Commercial Paper45,000 6,5285,959
+ 0003360 NatWest Markets N.V. Euro Commercial Paper Programme5,000 2525
+ 0001014 NatWest Markets plc Euro Commercial Paper Programme20,000 1,7741,767
+ 0002721 Nederlandse Waterschapsbank N.V. Euro-Commercial Paper and Certificate of Deposit Programme25,000 17,29216,221
+ 0002696 NIBC Bank N.V. Euro-Commercial Paper Programme3,000 2020
+ 0003280 Nomura Bank International PLC Multi-currency Euro-commercial paper and Euro-certificate of Deposit programme1,500 698696
+ 0002080 Norddeutsche Landesbank - Girozentrale - NEU CP4,000 00
+ 0000974 Norddeutsche Landesbank Girozentrale Commercial Paper Programme10,000 00
+ 0003141 Nordea Bank Abp Euro-commercial Paper Programme20,000 8,8458,372
+ 0003174 Nordea Bank Abp NEU CP15,000 615615
+ 0001142 Nordic Investment Bank Euro Commercial Paper Programme2,000 00
+ 0001025 Nykredit Bank A/S Euro-Commercial Paper and Certificate of Deposit Programme3,000 515515
+ 0001703 ONEY BANK, NEU CP1,000 55
+ 0001762 OP Corporate Bank plc ECP and CD Programme18,000 7,7327,225
+ 0001660 Paccar Financial Europe BV and Paccar Financial plc Multi Issuer ECP Programme2,000 738724
+ 0001751 Proximus Multi-currency Multi-jurisdiction Programme for the Issue of Short Term Treasury Notes1,000 00
+ 0003104 Rabobank ESG Leader Euro-commercial paper and certificate of deposit programme5,000 374379
+ 0000310 Rabobank Euro Commercial Paper and Certificate of Deposit Programme35,000 1,5761,521
+ 0001554 RCI Banque ECP Programme2,000 2626
+ 0000070 RCI Banque S.A. Negotiable European NEU CP4,500 557557
+ 0002871 RELX Finance B.V. Guaranteed Euro-Commercial Paper Programme2,000 33030
+ 0001886 Repsol International Finance B.V. Guaranteed Euro-Commercial Paper2,000 1,7561,743
+ 0002342 Republic of Cyprus Euro-Commercial Paper Programme5,000 00
+ 0002962 Santander UK Plc Euro-commercial Paper Programme10,000 304305
+ 0002995 Santander UK plc, Negotiable European Commercial Paper5,000 00
+ 0002400 SES and SES Global Americas Holdings GP Guaranteed Euro-Commercial Paper Programme1,000 00
+ 0002812 SFIL NEU CP2,000 724635
+ 0003196 SNAM S.p.A. Euro-commercial Paper Programme2,000 2,0002,000
+ 0000124 Societe Generale ECP and ECD Programme20,000 197199
+ 0000011 Societe Generale Negotiable European Commercial Paper60,000 8,6197,324
+ 0001521 Sony Global Treasury Services Plc Global Commercial Paper for the issuance of Euro Commercial Paper3,000 00
+ 0002470 Stedin Holding NV Euro-Commercial Paper Programme750 00
+ 0002834 Svenska Handelsbanken AB (publ) Euro-Commercial Paper Programme20,000 9,3298,781
+ 0002780 Svenska Handelsbanken AB (publ) NEU CP7,500 4,8954,845
+ 0000642 Telekom Finanzmanagement GmbH Guaranteed Belgian Multi Currency Short Term Treasury Notes Programme300 7868
+ 0002331 The Governor and Company of the Bank of Ireland Euro-Commercial Paper and Euro-Certificate of Deposit Programme10,000 00
+ 0002411 The Royal Bank of Scotland Group plc Euro-Commercial Paper Programme10,000 00
+ 0003323 THE ROYAL BANK OF SCOTLAND INTERNATIONAL LIMITED3,000 139139
+ 0000616 The State of the Netherlands Global Commercial Paper ProgrammeNaN 2,0798,652
+ 0002386 UBS AG London Branch Euro-Commercial Paper and Certificate of Deposit Programme20,000 10,3619,681
+ 0002422 UBS AG, London Branch, NEU CP10,000 100100
+ 0002732 UniCredit Bank AG,London Branch, NEU CP10,000 1,4751,430
+ 0001190 UniCredit Bank Ireland plc Euro Commercial Paper Programme15,000 1,6641,663
  0003312 UniCredit Bank Ireland plc NEU CP10,000 --
+ 0001040 UniCredit S.p.A., NEU CP20,000 3,7322,559
+ 0002604 VODAFONE Group plc Euro-Commercial Paper programme8,000 602544
+ 0002091 Volkswagen International Belgium SA -Short-Term Treasury Notes Programme5,000 4545
+ 0000792 Warehouses De Pauw200 200196
+ 0002320 Whirlpool Corporation Negotiable European Commercial Paper500 10030

The figures may not sum up to the aggregated amounts outstanding displayed in the other tab due to the fact that this table also includes programmes settled in Securities Settlement Systems that report data on a weekly basis.
“-”: the programme exists but has not issued
1) The daily spot rate vis-à-vis the Euro as at 2:15 p.m. (C.E.T.) is used.

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Gross issues

New issues, broken down by original maturity (EUR millions; nominal values)
Original time to maturity27 Mar 202026 Mar 202025 Mar 2020
New issues% of totalNew issues% of totalNew issues% of total
0 - 72453363220
8 - 316,48991143101,62223
32 - 9123931,017723044
92 - 183921222164,59665
184 - 274100005508
275 - 3664410000
Total7,1191001,4181007,094100

New issues, broken down by sector of the issuer, original time to maturity and rating category, on 27 Mar 2020 (EUR millions; nominal values)
Original time to maturityTotal issuanceGeneral government and
international organisations
Monetary financial
institutions
Non-financial
corporations
Other financial intermediariesInsurance corporations and
pension funds
All ratings
0 - 7245013793150
8 - 316,4896,3691101000
32 - 912392327000
92 - 183922706500
184 - 27410001000
275 - 366440152900
Total7,1196,629268207150
of which Rating 1
0 - 7245013793150
8 - 316,4296,319110000
32 - 911891827000
92 - 18327270000
184 - 27410001000
275 - 36615015000
Total6,9156,529268103150
of which Rating 2
0 - 7000000
8 - 31000000
32 - 91000000
92 - 18365006500
184 - 274000000
275 - 36629002900
Total94009400

Daily time series for STEP securities

Background

On 9 June 2006, Euribor ACI and Euribor FBE adopted the STEP Market Convention. The Convention requires issuers to put in place any arrangements with the securities settlement systems, the issuing and paying agents, the dealers, the arrangers or any other relevant entity that are necessary to provide the eligible data provider with complete and accurate data for the production of statistics by the ECB.

Since 2 April 2007, the STEP market has been accepted as a non-regulated market for collateral purposes in Eurosystem credit operations. See the press release

In order to be eligible for use as collateral in Eurosystem operations, notes issued under STEP-compliant programmes also have to fulfil all the eligibility criteria listed in Chapter 6 of the document entitled “The implementation of monetary policy in the euro area: General documentation on the Eurosystem monetary policy instruments and procedures”. more.

Data providers

Data providers, which act on a voluntary basis, may be eligible securities settlement systems, national central banks or other institutional entities. These entities are eligible as statistical data providers if they are able to comply with the reporting instructions. The data providers are assessed by the ECB on the basis of their capacity to comply with these reporting instructions, and new data providers may only be accepted with the approval of the STEP Market Committee.

Each eligible data provider covers all STEP issues that are settled in its system or that are deposited in a securities settlement system for which the data provider has complete data coverage. The depository location of the securities is contained in the security ISIN code.

Should multiple settlement systems be deemed eligible to report issues for a given market, each settlement system that acts as a data provider will transmit data on those issues that it has settled in its system.

About STEP statistics

The STEP statistics concern primary market volumes of, and yields on, short-term debt securities issued in the context of programmes that have received the STEP label from the STEP Market Committee.

The ECB publishes aggregated daily data on outstanding amounts of STEP securities, i.e. data on the nominal values of all STEP securities that have been issued but not redeemed at the end of the reference period. Statistics on aggregated new issues are also available at daily intervals.

The daily yield statistics encompass annualised yields on euro-denominated STEP-labelled zero coupon issues, referring to the primary market interest rates originally agreed between an issuer and an investor. Issues refer to short-term debt securities with an original maturity of up to one year. Yield statistics are also available for euro-denominated STEP issues priced with a spread against reference interest rates.

The STEP statistics cover all issues made under STEP labelled programmes. However, in order to allow the data providers to adapt their systems as necessary, a transitional period has been provided for. Therefore, some issues made under STEP-labelled programmes may not be covered by the daily STEP statistics. In order to cover the whole STEP market, outstanding amounts of STEP securities, including the amounts issued in any securities settlement system during its transitional period, are also published on a monthly basis.

“Total issuance” refers to all the STEP securities issued by all sectors. Sectors other than those comprising monetary financial institutions and non-financial corporations are currently not presented separately as the issuance volumes involved are small. Sector definitions are available in the glossary.

Issues published under the credit rating category “All ratings” refer to all STEP-labelled securities for which data are collected by the ECB.

Issues published under the credit rating category “Rating 1” refer to issues under those programmes that have the highest credit ratings.

Issues under programmes allocated to the credit rating categories “Rating 2” and “Rating 3” refer to those STEP securities that have high or medium credit ratings respectively. Currently, statistics for issues allocated to credit rating category “Rating 3” are not published, given the small issuance volumes.

In this way, the ECB ensures transparency while respecting the confidentiality of individual price or yield data.

The statistics are published on the ECB’s website at weekly intervals on the first business day of each week, except in the case of ECB holidays when publication will follow on the subsequent working day. The data refer to each day of the previous week.

For more detailed methodological information, please refer to the STEP Methodological Notes

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