This afternoon, Agence France Trésor auctioned a 14-week BTF, a 21-week BTF, a 27-week BTF and a 51-week BTF.
See below for auction details.
The total amount issued may be increased by non-competitive bids 2 (NCT2), which will take place on Tuesday 09 December 2025.
|
Type
BTF
Durée
3 month
|
Type
BTF
Durée
6 month
|
Type
BTF
Durée
6 month
|
Type
BTF
Durée
12 month
|
|
|---|---|---|---|---|
| Auction date | ||||
| Issue | 14 weeks | 21 weeks | 27 weeks | 51 weeks |
| Settlement date | ||||
| Maturity | ||||
| Amount bid* | 6,995 | 2,105 | 5,655 | 6,425 |
| Amount served* | 3,500 | 400 | 1,900 | 1,700 |
| Marginal rate | 2.105% | 2.085% | 2.110% | 2.155% |
| Percentage served at marginal rate | 18.00% | 76.25% | 42.14% | 55.74% |
| Bid to cover ratio** | 2.00 | 5.26 | 2.98 | 3.78 |
| Weighted average rate | 2.088% | 2.084% | 2.103% | 2.148% |
| ISIN Code | FR0129287266 | FR0129287282 | FR0128984012 | FR0129287332 |