21 January 2016: AFT issuance: a total amount of €8.497bn in OATs and €1.490bn of inflation-linked bonds

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AFT issued this morning the OAT 0.00% 25 February 2019, the OAT 0.25% 25 November 2020, the OAT 2.25% 25 October 2022, the OATi 0.10% 1 March 2025 and the OAT€i 0.70% 25 July 2030.
Here are the auctions details.
The amount served will possibly change after the NCT2, which will take place Friday 22 January 2016.

OAT 0.00% 25 February 2019
Amount bid: €7.960bn
Amount served: €4.408bn
Stop price: 100.59%
% served: 48.34%
Bid-to-cover ratio (Amount bid / Amount served): 1.81
Weighted average rate: -0.20%
Weighted average price: 100.61%
Settlement date: 25 January 2016
Isin code : FR0013101466

OAT 0.25% 25 November 2020
Amount bid: €4.700bn
Amount served: €3.050bn
Stop price: 101.15%
% served: 100.00%
Bid-to-cover ratio (Amount bid / Amount served): 1.54
Weighted average rate: 0.01%
Weighted average price: 101.18%
Settlement date: 25 January 2016
Isin code : FR0012968337

OAT 2.25% 25 October 2022
Amount bid: €2.487bn
Amount served: €1.039bn
Stop price: 113.13%
% served: 100.00%
Bid-to-cover ratio (Amount bid / Amount served): 2.39
Weighted average rate: 0.28%
Weighted average price: 113.16%
Settlement date: 25 January 2016
Isin code : FR0011337880

OATi 0.10% 1 March 2025
Amount bid: €1.240bn
Amount served: €0.755bn
Stop price: 102.38%
% served: 100.00%
Bid-to-cover ratio (Amount bid / Amount served): 1.64
Weighted average rate: -0.17%
Weighted average price: 102.44%
Settlement date: 25 January 2016
Isin code : FR0012558310

OAT€i 0.70% 25 July 2030
Amount bid: €1.280bn
Amount served: €0.735bn
Stop price: 108.15%
% served: 100.00%
Bid-to-cover ratio (Amount bid / Amount served): 1.74
Weighted average rate: 0.13%
Weighted average price: 108.24%
Settlement date: 25 January 2016
Isin code : FR0011982776

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