Latest auctions

Month : MARCH 2019

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OAT auctions - March 2019

OAT
25/05/2029
0.50%
OAT
25/05/2034
1.25%
OAT
25/05/2045
3.25%
OAT
25/02/2022
0.00%
OAT
25/05/2022
0.00%
OAT
25/03/2024
0.00%
OAT
25/11/2025
1.00%
OAT€i
01/03/2029
0.10%
Auction date 07/03/2019 07/03/2019 07/03/2019 21/03/2019 21/03/2019 21/03/2019 21/03/2019 21/03/2019
Settlement date 11/03/2019 11/03/2019 11/03/2019 25/03/2019 25/03/2019 25/03/2019 25/03/2019 25/03/2019
Volume announced* 8,000 -- 9,500 7,500 -- 9,000 1,500 -- 2,500
Amount bid* 12,195 4,458 1,860 10,255 6,712 7,430 4,779 4,078
Amount served* 6,494 2,299 700 1,997 2,339 2,996 1,659 2,040
Non-competitive bids after auction* 1,467 697 216 427 415 907 506 88
Total amount issued* 7,961 2,996 916 2,424 2,754 3,903 2,165 2,128
Stop price 99.30% 103.64% 139.82% 101.10% 101.20% 100.87% 106.77% 109.45%
Percentage served at stop price 57.64% 82.42% 100.00% 6.50% 26.59% 66.72% 100.00% 100.00%
Bid to cover ratio** 1.88 1.94 2.66 5.14 2.87 2.48 2.88 2.00
Weighted average price 99.32% 103.67% 139.88% 101.11% 101.21% 100.88% 106.78% 109.48%
Weighted average rate 0.57% 0.99% 1.42% -0.38% -0.38% -0.17% -0.02% -0.81%
ISIN Code FR0013407236 FR0013313582 FR0011461037 FR0013398583 FR0013219177 FR0013344751 FR0012938116 FR0013410552

BTF auctions - March 2019

Date d'adjudication: 04/03/2019
Type
BTF
Durée
3 month
Type
BTF
Durée
6 month
Type
BTF
Durée
12 month
Auction date 04/03/2019 04/03/2019 04/03/2019
Issue 12 weeks 21 weeks 51 weeks
Settlement date 06/03/2019 06/03/2019 06/03/2019
Maturity 29/05/2019 31/07/2019 26/02/2020
Volume announced* 2,200 -- 2,600 800 -- 1,200 700 -- 1,100
Amount bid* 7,153 4,258 3,545
Amount served* 2,596 1,196 1,096
Non-competitive bids after auction* 488 235 101
Total amount issued* 3,084 1,431 1,197
Marginal rate -0.530% -0.530% -0.510%
Percentage served at marginal rate 14.78% 53.45% 60.55%
Bid to cover ratio** 2.76 3.56 3.23
Weighted average rate -0.534% -0.530% -0.510%
ISIN Code FR0125375032 FR0125375073 FR0125375115
Date d'adjudication: 11/03/2019
Type
BTF
Durée
3 month
Type
BTF
Durée
6 month
Type
BTF
Durée
6 month
Type
BTF
Durée
12 month
Auction date 11/03/2019 11/03/2019 11/03/2019 11/03/2019
Issue 13 weeks 20 weeks 26 weeks 50 weeks
Settlement date 13/03/2019 13/03/2019 13/03/2019 13/03/2019
Maturity 13/06/2019 31/07/2019 11/09/2019 26/02/2020
Volume announced* 2,200 -- 2,600 500 -- 900 200 -- 500 500 -- 900
Amount bid* 6,035 3,695 2,670 3,654
Amount served* 2,596 896 499 897
Non-competitive bids after auction* 0 50 85 0
Total amount issued* 2,596 946 584 897
Marginal rate -0.535% -0.540% -0.550% -0.520%
Percentage served at marginal rate 99.03% 57.01% 7.01% 70.81%
Bid to cover ratio** 2.32 4.12 5.35 4.07
Weighted average rate -0.538% -0.542% -0.559% -0.521%
ISIN Code FR0125375040 FR0125375073 FR0125064891 FR0125375115
Date d'adjudication: 18/03/2019
Type
BTF
Durée
3 month
Type
BTF
Durée
6 month
Type
BTF
Durée
12 month
Auction date 18/03/2019 18/03/2019 18/03/2019
Issue 12 weeks 23 weeks 49 weeks
Settlement date 20/03/2019 20/03/2019 20/03/2019
Maturity 13/06/2019 28/08/2019 26/02/2020
Volume announced* 2,200 -- 2,600 700 -- 1,100 700 -- 1,100
Amount bid* 6,335 3,730 3,785
Amount served* 2,485 1,095 1,097
Non-competitive bids after auction* 0 32 158
Total amount issued* 2,485 1,127 1,255
Marginal rate -0.525% -0.525% -0.520%
Percentage served at marginal rate 100.00% 42.63% 60.51%
Bid to cover ratio** 2.55 3.41 3.45
Weighted average rate -0.525% -0.527% -0.521%
ISIN Code FR0125375040 FR0125375081 FR0125375115