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Миссия Агенства Франс Трезор заключается в управлении долгом и свободными средствами государства с максимальной выгодой для налогоплательщика в условиях наивысшей надежности
АФТ
Основы бюджетной политики
Государственный долг
Свободные средства государства
Контроль рисков
Экономические индикаторы
Публикации
AFT
ABOUT US
A brief history
Activities
Organization chart
Managing Directors
Strategic committee
Key figures
PARTNERS
Primary Dealers
AMTE
Banque de France
PRACTICAL INFO
How to find us
FAQ
Links
BUDGETARY FRAMEWORK
THE STATE BUDGET
Budget Bill
State financing programme
Annual Performance Plans and Reports
Stability programme
Monthly budgetary situation
KEY FIGURES
Borrowing requirements and funding sources
Net cost of debt
The State accounts
LEGAL TEXTS
Ordinance of 2 January 1959 establishing the Constitutional bylaw on budget acts
Constitutional bylaw of 1 August 2001 on budget acts
Article 113 of the 2004 Supplementary Budget Act
Decree concerning the issuance of Treasury bonds
Article 81 of the 2011 Budget Act
DEBT MANAGEMENT
DEFINITION AND SCOPE
PRODUCTS
General information
BTFs
BTANs
OATs
OATs for retail investors
Stripped government securities
OATis and BTANi
OAT€is and BTAN€is
TEC 10 OAT
Tax treatment of government securities
KEY FIGURES
French government yield curve
Outstanding government negotiable debt
Financing over the year and repayment schedules
OATs and BTANs issues and cumulative total
French government long- and medium-term negotiable debt
Who holds France's debt?
Other figures
DEBT INDICATORS
Objectives
Average maturity
Spreads metric
Timing and Allocation indicators
AUCTIONS
Technical aspects
Auction indicative calendars
Latest auctions
Auctions historical data
ACTIVE DEBT MANAGEMENT
Interest-rate swaps
Debt buy-backs
MONTHLY OPERATIONS REVIEW
SECONDARY MARKET
The spot market
The repo market
Trading volume
Settlement and delivery procedures
The French financial markets
HISTORICAL DATA
French government negotiable debt outstanding
Flow of government funding
Other historical data
DEPT MANAGEMENT IN 20 QUESTIONS
CASH MANAGEMENT
MISSIONS
INSTRUMENTS
MAIN FIGURES
Average gross intraday cash flows
Breakdown of cash flows
Breakdown of AFT's operations
Treasury account
Revenues
PERFORMANCE INDICATORS
Objectives
Average end-of-day balance
Interest earned on short-term investments
Percentage of local authority financial transactions
LEGAL TEXTS
Decree of 29 December 1962 on public accounting rules
Act of 4 August 1993 on oversight of credit institutions
Article 26 of the Constitutional Bylaw on Budget Acts
Article 117 of the Budget Act
Decree of 5 July 2004 on the implementation of Art. 117 of the Budget Act
Decision of the Constitutional Court, 29 December 2003
Circular of 7 April 2006
Circular of 21 November 2006
Decree of 27 September 2007
CASH MANAGEMENT IN 10 QUESTIONS
MIDDLE OFFICE
DEFINITION
COVERED RISKS
Interest rate risk
Counterparty risk
Settlement risk
Operational risks
Exchange-rate risk
PERFORMANCE INDICATORS
ORGANISATION
INSTRUMENTS
Internal procedures manual
Ethics Charter
The AFT's information system
ECONOMIC INDICATORS
KEY INDICATORS
Macroeconomic forecast
GDP France, chain-linked previous year prices
Euro exchange rate
Government budget monthly position
Public finance: general government deficit and debt
Recent economic indicators
INTERNATIONAL COMPARISONS
General government debt
Consumer price index
KEY DATES
Central bank meetings
French economic indicators
PUBLICATIONS
PRESS RELEASES
MONTHLY BULLETINS
ANNUAL REPORTS AND ANNUAL REVIEWS
ANALYSIS AND RESEARCH
Analysis and Research 2007
Analysis and Research 2006
Analysis and research 2005
Analysis and research 2003
SUBSCRIBE TO OUR PUBLICATIONS
OTHER LINKS
French government negotiable debt outstanding
Average maturity
Daily Tec 10
BTANi / OATi
BTAN€i / OAT€i
OATS FOR RETAIL INVESTORS User guide for retail investors
Contact us
economie.gouv.fr Ministry for the Economy, Finance and Industry website
Directorate General of the Treasury website
Terms & Conditions
Information: Publisher / Host
RSS FEED
PUBLICATIONS
Monthly Bulletin
No. 263
Апр. 2012
ГОДОВОЙ ОТЧЕТ
Авг. 2011
Объем обращающегося госдолга на 29 Фев. 2012
1 334 183 540 926 евро
Средний срок жизни обращающегося долга на 29 Фев. 2012
7 лет и 61 дней
Средневзвешенная ставка
BTAN и OAT
Среднее значение годовых эмиссий (2012)
на 21 Май 2012 : 2,23 %
Tec 10
на 22 Май 2012 : 2.79 %
Коэффициенты индексации
BTANi / OATi
BTAN€i / OAT€i
OAT ДЛЯ ЧАСТНЫХ ЛИЦ
Руководство для частных инвесторов
СВЯЗАТЬСЯ С НАМИ
ECONOMIE.GOUV.FR
Сайт Министерства экономики, финансов и промышленности
tresor.economie.gouv.fr