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AGENCE FRANCE TRESOR is tasked with managing the government debt and cash positions under the most secure conditions in the interest of the taxpayer.
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21/06/2018 : AFT issuance: a total amount of €1.709bn of inflation-linked bonds  
AFT issued this morning the OAT€i 1.85% 25 July 2027, the OATi 0.10% 1 March 2028 and the OAT€i 0.10% 25 July 2047.
Here are the auction details.
The amount served will possibly change after the NCT2, which will take place Friday 22 June 2018.

OAT€i 1.85% 25 July 2027
Amount bid: €1.635bn
Amount served: €0.814bn
Stop price: 127.16%
% served: 100.00%
Bid-to-cover ratio (Amount bid / Amount served): 2.01
Weighted average rate: -1.00%
Weighted average price: 127.19%
Settlement date: 25 June 2018
Isin code: FR0011008705

OATi 0.10% 1 March 2028
Amount bid: €1.094bn
Amount served: €0.519bn
Stop price: 109.16%
% served: 100.00%
Bid-to-cover ratio (Amount bid / Amount served): 2.11
Weighted average rate: -0.81%
Weighted average price: 109.24%
Settlement date: 25 June 2018
Isin code: FR0013238268

OAT€i 0.10% 25 July 2047
Amount bid: €0.699bn
Amount served: €0.376bn
Stop price: 108.23%
% served: 100.00%
Bid-to-cover ratio (Amount bid / Amount served): 1.86
Weighted average rate: -0.18%
Weighted average price: 108.35%
Settlement date: 25 June 2018
Isin code: FR0013209871

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