Medium- and long-term debt outstanding
Code ISIN |
Libellé |
Encours (€) |
Maturity
2025
FR0012517027
|
OAT 0.50% 25 May 2025
|
37,463,000,000
|
FR0000571150
|
OAT 6.00% 25 October 2025
|
27,498,928,118
|
FR0012938116
|
OAT 1.00% 25 November 2025
|
35,801,000,000
|
Code ISIN |
Libellé |
Encours (€) |
Maturity
2026
FR0013508470
|
OAT 0.00% 25 February 2026
|
36,772,500,000
|
FR0010916924
|
OAT 3.50% 25 April 2026
|
38,809,500,000
|
FR0013131877
|
OAT 0.50% 25 May 2026
|
37,456,000,000
|
FR001400FYQ4
|
OAT 2.50% 24 September 2026
|
35,167,000,000
|
FR0013200813
|
OAT 0.25% 25 November 2026
|
38,372,000,000
|
Code ISIN |
Libellé |
Encours (€) |
Maturity
2027
FR0014003513
|
OAT 0.00% 25 February 2027
|
45,915,000,000
|
FR0013250560
|
OAT 1.00% 25 May 2027
|
45,339,000,000
|
FR001400NBC6
|
OAT 2.50 % 24 September 2027
|
44,301,000,000
|
FR0011317783
|
OAT 2.75% 25 October 2027
|
61,863,000,000
|
Code ISIN |
Libellé |
Encours (€) |
Maturity
2028
FR001400AIN5
|
OAT 0.75% 25 February 2028
|
51,553,000,000
|
FR0000571226
|
OAT zero coupon 28 March 2028
|
46,232,603
|
FR0013286192
|
OAT 0.75% 25 May 2028
|
65,097,000,000
|
FR001400XLW2
|
OAT 2.40% 24 September 2028
|
27,515,000,000
|
FR0013341682
|
OAT 0.75% 25 November 2028
|
62,095,000,000
|
Code ISIN |
Libellé |
Encours (€) |
Maturity
2029
FR001400HI98
|
OAT 2.75% 25 FEBRUARY 2029
|
58,225,000,000
|
FR0000571218
|
OAT 5.50% 25 April 2029
|
44,514,880,462
|
FR0013407236
|
OAT 0.50% 25 May 2029
|
58,805,000,000
|
FR0013451507
|
OAT 0.00% 25 NOVEMBER 2029
|
49,931,000,000
|
Code ISIN |
Libellé |
Encours (€) |
Maturity
2030
FR001400PM68
|
OAT 2.75% 25 FEBRUARY 2030
|
56,570,000,000
|
FR0011883966
|
OAT 2.50% 25 May 2030
|
67,134,000,000
|
FR0013516549
|
OAT 0.00% 25 November 2030
|
58,857,000,000
|
Code ISIN |
Libellé |
Encours (€) |
Maturity
2031
FR001400Z2L7
|
OAT 2.70% 25 February 2031
|
24,150,000,000
|
FR0012993103
|
OAT 1.50% 25 May 2031
|
65,270,000,000
|
FR0014002WK3
|
OAT 0.00% 25 November 2031
|
58,126,000,000
|
Code ISIN |
Libellé |
Encours (€) |
Maturity
2032
FR0014007L00
|
OAT 0.00% 25 May 2032
|
47,745,000,000
|
FR0000187635
|
OAT 5.75% 25 October 2032
|
35,192,322,600
|
FR001400BKZ3
|
OAT 2.00% 25 November 2032
|
56,408,000,000
|
Code ISIN |
Libellé |
Encours (€) |
Maturity
2033
FR001400H7V7
|
OAT 3.00% 25 May 2033
|
45,720,000,000
|
FR001400L834
|
OAT 3.50 % 25 november 2033
|
50,478,000,000
|
Code ISIN |
Libellé |
Encours (€) |
Maturity
2034
FR0013313582
|
OAT 1.25% 25 May 2034
|
60,455,000,000
|
FR001400QMF9
|
OAT 3.00 % 25 November 2034
|
43,751,000,000
|
Code ISIN |
Libellé |
Encours (€) |
Maturity
2035
FR0010070060
|
OAT 4.75% 25 April 2035
|
35,936,000,000
|
FR001400X8V5
|
OAT 3.20% 25 May 2035
|
50,104,000,000
|
Code ISIN |
Libellé |
Encours (€) |
Maturity
2036
FR0013154044
|
OAT 1.25% 25 May 2036
|
54,657,000,000
|
Code ISIN |
Libellé |
Encours (€) |
Maturity
2038
FR0014009O62
|
OAT 1.25% 25 May 2038
|
33,712,000,000
|
FR0010371401
|
OAT 4.00% 25 October 2038
|
27,913,000,000
|
Code ISIN |
Libellé |
Encours (€) |
Maturity
2039
FR0013234333
|
GREEN OAT 1.75% 25 June 2039
|
36,304,000,000
|
Code ISIN |
Libellé |
Encours (€) |
Maturity
2040
FR0013515806
|
OAT 0.50% 25 May 2040
|
32,155,000,000
|
Code ISIN |
Libellé |
Encours (€) |
Maturity
2041
FR0010773192
|
OAT 4.50% 25 April 2041
|
40,476,000,000
|
Code ISIN |
Libellé |
Encours (€) |
Maturity
2042
FR001400WYO4
|
OAT 3.60% 25 May 2042
|
12,748,000,000
|
Code ISIN |
Libellé |
Encours (€) |
Maturity
2043
FR001400CMX2
|
OAT 2.50% 25 May 2043
|
25,939,000,000
|
Code ISIN |
Libellé |
Encours (€) |
Maturity
2044
FR0014002JM6
|
Green OAT 0.50% 25 June 2044
|
23,870,000,000
|
Code ISIN |
Libellé |
Encours (€) |
Maturity
2045
FR0011461037
|
OAT 3.25% 25 May 2045
|
31,657,000,000
|
Code ISIN |
Libellé |
Encours (€) |
Maturity
2048
FR0013257524
|
OAT 2.00% 25 May 2048
|
30,644,000,000
|
Code ISIN |
Libellé |
Encours (€) |
Maturity
2049
FR001400NEF3
|
Green OAT 3.00% 25 June 2049
|
14,917,000,000
|
Code ISIN |
Libellé |
Encours (€) |
Maturity
2050
FR0013404969
|
OAT 1.50% 25 May 2050
|
34,348,000,000
|
Code ISIN |
Libellé |
Encours (€) |
Maturity
2052
FR0013480613
|
OAT 0.75% 25 May 2052
|
33,622,000,000
|
Code ISIN |
Libellé |
Encours (€) |
Maturity
2053
FR0014004J31
|
OAT 0.75% 25 May 2053
|
33,416,000,000
|
Code ISIN |
Libellé |
Encours (€) |
Maturity
2054
FR001400FTH3
|
OAT 3.00 % 25 May 2054
|
25,978,000,000
|
Code ISIN |
Libellé |
Encours (€) |
Maturity
2055
FR0010171975
|
OAT 4.00% 25 April 2055
|
22,640,000,000
|
FR001400OHF4
|
OAT 3.25% 25 May 2055
|
24,174,000,000
|
Code ISIN |
Libellé |
Encours (€) |
Maturity
2056
FR001400XJJ3
|
OAT 3.75% 25 May 2056
|
17,119,000,000
|
Code ISIN |
Libellé |
Encours (€) |
Maturity
2060
FR0010870956
|
OAT 4.00% 25 April 2060
|
21,485,000,000
|
Code ISIN |
Libellé |
Encours (€) |
Maturity
2066
FR0013154028
|
OAT 1.75% 25 May 2066
|
18,394,000,000
|
Code ISIN |
Libellé |
Encours (€) |
Maturity
2072
FR0014001NN8
|
OAT 0.50% 25 May 2072
|
14,472,000,000
|