OAT€i debt outstanding

ISIN Code Bond Outstanding (€)
Code ISIN Libellé Encours (€)
Maturity 2026
FR0013519253 OAT€i 0.10% 1 March 2026 12,736,000,000.00
Code ISIN Libellé Encours (€)
Maturity 2027
FR0011008705 OAT€i 1.85% 25 July 2027 24,562,000,000.00
Code ISIN Libellé Encours (€)
Maturity 2029
FR0013410552 OAT€i 0.10% 1 MARCH 2029 22,041,000,000.00
Code ISIN Libellé Encours (€)
Maturity 2030
FR0011982776 OAT€i 0.70% 25 July 2030 17,232,000,000.00
Code ISIN Libellé Encours (€)
Maturity 2031
FR0014001N38 OAT€I 0.10% 25 July 2031 11,741,000,000.00
Code ISIN Libellé Encours (€)
Maturity 2032
FR0000188799 OAT€i 3.15% 25 July 2032 12,428,000,000.00
Code ISIN Libellé Encours (€)
Maturity 2034
FR001400JI88 OAT€i 0.60% 25 July 2034 4,727,000,000.00
Code ISIN Libellé Encours (€)
Maturity 2036
FR0013327491 OAT€i 0.10% 25 July 2036 13,624,000,000.00
Code ISIN Libellé Encours (€)
Maturity 2038
FR001400AQH0 GREEN OAT€i 0.10% 25 JULY 2038 7,089,000,000.00
Code ISIN Libellé Encours (€)
Maturity 2040
FR0010447367 OAT€i 1.80% 25 July 2040 13,852,000,000.00
Code ISIN Libellé Encours (€)
Maturity 2043
FR001400QCA1 OAT€i 0.95% 25 July 2043 4,000,000,000.00
Code ISIN Libellé Encours (€)
Maturity 2047
FR0013209871 OAT€i 0.10% 25 July 2047 13,027,000,000.00
Code ISIN Libellé Encours (€)
Maturity 2053
FR0014008181 OAT€i 0.10% 25 July 2053 8,242,000,000.00