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5.2% VBL 2030-2034 (VB34A)
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5.5% 9HC 2027
5.25% ACM 2028 -2030
5.8% AES 2036 S1 T1
5.5% AES 2036 S1 T2
5.4% AGB 2035 S1 T1
3.25% APS 2025-2030
5.8% APS 2028-2033 S1 T1
5.75% AQC 2027
6.25% AST 2033
3.25% AXG 2026 SI
3.75% AXG 2029 S2
3.5% AXR 2032
5.85% AXG 2033
5.25% BBP 2033 S1 T1
4.75% BDPH 2025-2027
5.75% BDPH 2027-2029
5.35% BDPH 2032
5.85% BGA 2034
5% BLF 2026-2029
4.5% BNF 2027 - 2032
3.9% BRW 2027-2031
5% BSB 2029
5.4% BBT 2032-2036
3.5% BOV 2030 S1 T1
3.5% BOV 2030 S2 T1
3.75% BOV 2026-2031
5% BOV 2029-2034 S1 T1
5.00% BOV 2030-2035 S2 T1
5.00% BOV 2030-2035 S1 T1
3.75% BRX 2027
4.4% CBC 2027 S1/17 T1
4% CBC 2027-2033
5.70% CBC 2030-2035 S1 T1
4% CCS 2030
5% CFE 2028-2033
5.35% CPHCL 2035
4.25% CLP 2033
4.9% CLS 2032
6.25% CMF 2034
5% CVS 2026-2029
5% DZF 2026
4.75% DNF 2033
5.35% DSM 2028
5.4% ECL 2031
4% EFC 2027
4.5% END 2029
4% EXF 2028
5.5% FTD 2036
5% FES 2029
7% MGS 2026 (I)
0.40% MGS 2026 (II)
0.25% MGS 2026 (III)
0.10% MGS 2026 (IV)
3.55% MGS 2026 (V)
3.85% MGS 2026 (VI)
1.5% MGS 2027 (I)
0.80% MGS 2027 (III)
0.40% MGS 2027 (IV)
0.90% MGS 2027 (V)
3.4% MGS 2027 (VI)
3.15% MGS 2027 (VII)
4.8% MGS 2028 (I)
4.5% MGS 2028 (II)
1.70% MGS 2028 (IV)
2.60% MGS 2028 (V)
3.50% MGS 2028 (VI)
3.95% MGS 2028 (VII)
5.1% MGS 2029 (I)
2.3% MGS 2029 (II)
1.85% MGS 2029 (III)
3.35% MGS 2029 (V)
5.25% MGS 2030 (I)
3.7% MGS 2030 (II)
2.80% MGS 2030 (III)
3.00% MGS 2030 (IV)
2.55% MGS 2030 (V)
5.2% MGS 2031 (I)
1.0% MGS 2031 (II)
0.90% MGS 2031 (V)
4.65% MGS 2032 (I)
4.45% MGS 2032 (II)
1.60% MGS 2032 (III)
2.10% MGS 2032 (IV)
7% MGS 2032 (V)
2.9% MGS 2032 (VI)
4% MGS 2032 (VII)
4.5% G3 2032
4.3% MGS 2033 (I)
3.75% MGS 2033 (III)
4.00% MGS 2033 (IV)
4.1% MGS 2034 (I)
7% MGS 2034 (II)
3.50% MGS 2034 (III)
3.25% MGS 2034 (IV)
2.2% MGS 2035 (I)
1.00% MGS 2035 (II)
3.50% MGS 2035 (III)
3.40% MGS 2035 (IV)
2.5% MGS 2036 (I)
3.80% MGS 2036 (III) r
3.80% MGS 2036 (III) A
1.20% MGS 2037 (I)
4.00% MGS 2038 (I)
4.30% MGS 2038 (II)
2.1% MGS 2039 (I)
3% MGS 2040 (I)
3.80% MGS 2040 (II)
2.4% MGS 2041 (I)
4.10% MGS 2041 (II) r
4.10% MGS 2041 (II) A
3.40% MGS 2042 (I)
4.00% MGS 2043 (I)
1.50% MGS 2045 (I)
1.40% MGS 2046 (I)
2.60% MGS 2047 (I)
1.80% MGS 2051 (I)
2.00% MGS 2051 (II)
2.40% MGS 2052 (I)
4.5% GHM 2027
4.75% GLR 2028
6.25% GPH 2030
5.8% GPH 2032
3.5% GO 2031
4.75% GAP 2025-2027
5.3% GTR 2030
4% HLF 2027
3.85% HLF 2028
3.8% HLF 2029
5% HLF 2029
5% HLF 2033
5.2% HHF 2035
5.35% HMV 2031-2034
7.25% HRT 2025-2027
5% HRZ 2026-2029
5% IZB 2027 - 2032
4% IHI 2026
4% IHI 2026 B
3.65% IHI 2031
6% IHI 2033
5.30% IHI 2035
5.75% IGI 2031-2036
4.25% IZI 2029
5.5% IZI 2036
4.85% JDC 2032 S1 T1
6% JDC 2033 S2 T1
5.6% JDC 2035
5.35% JMB 2035
5.5% JUE 2035
4.75% KAF 2026-2029
5.25% KLF 2027
6% LDB 2030-2035 S1 T1
5% LLF 2028
4% LSI 2026-2031
5.35% MAR 2029-2031
5% MED 2022-2027 EUR
5% MED 2022-2027 GBP
4% MED 2024-2029 EUR
4% MED 2024-2029 GBP
4% MIDI 2026
5% MRN 2032
5.25% MIH 2027
5.85% MIH 2028
4.8% MMHF 2026
3.65% MOF 2028-2031
4% MPC 2032 S1/22 T1
5.7% MRK 2033
5% MDS 2029
5.50% MDS 2031-2036
6.50% MDS 2031-2036
6% MUL 2032 S1 T1
3.75% MCY 2027
4.25% MCY 2031
4.3% MCY 2032
5.3% MCY 2034
4.5% ONA 2028 - 2034
3.75% PRC 2026
6% PHC 2033
5.75% PHN 2028-2033
5.75% PLG 2028
5.10% PLG 2028 -2030
3.9% PZC 2026
5.5% QLZ 2030 -2035 S1T1
5.5% QLZ 2030 -2035 S1 T2
5.25% QWR 2033
4.55% STA 2032
4.35% SDF 2027
5.2% SDF 2031 S1/T1
3.5% SFC 2027
4% SHM 2026
4.5% SHM 2032
4.65% SMF 2031
4.65% SMF 2032
4% SPF 2029
4% STV 2027
3.65% STV 2029
6.25% TGS 2030 -2032
3.75% TUM 2027
3.75% TMF 2029
5.2% TUM 2031-2034
5.5% TST 2029
5.50% TTM 2032
5% VDH 2032
3.75% VRT 2027
3.80% MGS 2040 (II) FI r
3.80% MGS 2040 (II) FI A
5.5% IGF 2024-2027
2.55% MGS 2030 (V) r
2.55% MGS 2030 (V) A
3.40% MGS 2035 (IV) r
3.40% MGS 2035 (IV) A
3.40% MGS 2035 (IV) FI A
4.5% HIL 2025
0.5% MGS 2025 (II)
3.50% MGS 2035 (III) r
3.50% MGS 2035 (III) A
7% MGS 2025 (I)
4.5% IZB 2025
0.75% MGS 2025 (III)
5.9% TGS 2024-2026
5.1% 6PM 2025
3.80% MGS 2040 (II) r
3.80% MGS 2040 (II) A
Indicators:
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Bond Price Graph
VB34A
5.2% VBL 2030-2034 (VB34A)
100.20
0.00
0.00%
Open
100.00
Previous Close
100.20
52 Week Low
98.01
52 Week High
102.00
Last updated: 20 May 2026. All prices are shown in EUR
Background Data
Coupon
5.20%%
Maturity
Interest Payment Dates
Ex-div Dates
Currency
EUR
Yield to Maturity
-
Current Yield
-
Benchmark Spread
-
Mod Duration
-
Issue Date
Amount Issued
Amount Outstanding
Listing
Official List
ISIN
MT0002551217
Trading Information
Volume
35,000
Close Price
100.20
Previous Close Price
100.20
Change
0.00
Open
100.00
Day High
100.20
Day Low
100.00
ATWP
100
Best Closing Bid
98.51
Best Closing Offer
100.20
Latest Announcements
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