MADRID, 6 giugno (Reuters) - Il Tesoro spagnolo ha annunciato di avere collocato nelle aste odierne titoli di stato per complessivi 2,921 miliardi di euro. Ecco i dettagli (in milioni di euro): inflation-linked Nov. 30, 2030 LATEST PREVIOUS bond AUCTION DATE June 6, 2019 Feb.7, 2019 ISSUE MATURITY Nov.30, 2030 Nov.30, 2030 COUPON (%) 1.0 1.0 HIGHEST YIELD (%) -0.259 0.271 AVERAGE YIELD (%) -0.283 0.252 AVERAGE PRICE 114.990 108.673 TOTAL BIDS (MLN) 1,456 1,623 ALLOTTED (MLN) 476 773 BID/COVER RATIO 3.1 2.1 Oct. 31, 2021 bond LATEST PREVIOUS AUCTION DATE June 6, 2019 April 4, 2019 ISSUE MATURITY Oct. 31, 2021 Oct. 31, 2021 COUPON (%) 0.05 0.05 HIGHEST YIELD (%) -0.357 -0.240 AVERAGE YIELD (%) -0.361 -0.244 AVERAGE PRICE 100.991 100.760 TOTAL BIDS (MLN) 3,475 3,865 ALLOTTED (MLN) 1,335 1,190 BID/COVER RATIO 2.6 3.2 July 30, 2024 bond LATEST PREVIOUS AUCTION DATE June 6, 2019 May 23, 2019 ISSUE MATURITY July 30, 2024 July 30, 2024 COUPON (%) 0.25 0.25 HIGHEST YIELD (%) -0.090 0.033 AVERAGE YIELD (%) -0.096 0.023 AVERAGE PRICE 101.783 101.170 TOTAL BIDS (MLN) 2,835 2,307 ALLOTTED (MLN) 1,110 1,132 BID/COVER RATIO 2.6 2.0