Latest auctions

Month : JULY 2019

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OAT auctions - July 2019

OAT
25/05/2029
0.50%
OAT
25/05/2034
1.25%
OAT
25/05/2050
1.50%
OAT
25/02/2022
0.00%
OAT
25/10/2022
2.25%
OAT
25/03/2025
0.00%
OATi
01/03/2028
0.10%
OAT€i
01/03/2029
0.10%
OAT€i
25/07/2036
0.10%
Auction date 04/07/2019 04/07/2019 04/07/2019 18/07/2019 18/07/2019 18/07/2019 18/07/2019 18/07/2019 18/07/2019
Settlement date 08/07/2019 08/07/2019 08/07/2019 22/07/2019 22/07/2019 22/07/2019 22/07/2019 22/07/2019 22/07/2019
Volume announced* 8,500 -- 10,000 7,250 -- 8,750 1,000 -- 1,500
Amount bid* 9,740 4,546 4,370 8,650 7,580 6,855 1,150 2,959 1,317
Amount served* 4,972 2,050 2,974 2,748 3,220 2,777 320 786 388
Non-competitive bids after auction* 0 0 0 0 0 0 0 0 0
Total amount issued* 4,972 2,050 2,974 2,748 3,220 2,777 320 786 388
Stop price 106.21% 114.87% 119.02% 101.80% 109.72% 102.55% 110.15% 111.31% 114.20%
Percentage served at stop price 18.82% 100.00% 100.00% 17.86% 100.00% 79.32% 100.00% 53.92% 51.25%
Bid to cover ratio** 1.96 2.22 1.47 3.15 2.35 2.47 3.59 3.76 3.39
Weighted average price 106.23% 114.91% 119.16% 101.82% 109.73% 102.56% 110.18% 111.31% 114.25%
Weighted average rate -0.13% 0.23% 0.80% -0.69% -0.69% -0.44% -1.02% -1.01% -0.69%
ISIN Code FR0013407236 FR0013313582 FR0013404969 FR0013398583 FR0011337880 FR0013415627 FR0013238268 FR0013410552 FR0013327491

BTF auctions - July 2019

Date d'adjudication: 01/07/2019
Type
BTF
Durée
3 month
Type
BTF
Durée
6 month
Type
BTF
Durée
12 month
Auction date 01/07/2019 01/07/2019 01/07/2019
Issue 13 weeks 20 weeks 50 weeks
Settlement date 03/07/2019 03/07/2019 03/07/2019
Maturity 02/10/2019 20/11/2019 17/06/2020
Volume announced* 2,300 -- 2,700 500 -- 900 800 -- 1,200
Amount bid* 7,595 4,810 4,435
Amount served* 2,696 898 1,198
Non-competitive bids after auction* 0 0 0
Total amount issued* 2,696 898 1,198
Marginal rate -0.560% -0.580% -0.620%
Percentage served at marginal rate 43.56% 82.88% 33.74%
Bid to cover ratio** 2.82 5.36 3.70
Weighted average rate -0.564% -0.581% -0.626%
ISIN Code FR0125692352 FR0125533101 FR0125533143
Date d'adjudication: 08/07/2019
Type
BTF
Durée
3 month
Type
BTF
Durée
6 month
Type
BTF
Durée
12 month
Auction date 08/07/2019 08/07/2019 08/07/2019
Issue 12 weeks 23 weeks 49 weeks
Settlement date 10/07/2019 10/07/2019 10/07/2019
Maturity 02/10/2019 18/12/2019 17/06/2020
Volume announced* 2,400 -- 2,800 700 -- 1,100 700 -- 1,100
Amount bid* 6,770 4,840 2,990
Amount served* 2,794 1,097 1,097
Non-competitive bids after auction* 130 201 0
Total amount issued* 2,924 1,298 1,097
Marginal rate -0.555% -0.565% -0.625%
Percentage served at marginal rate 64.46% 86.22% 68.14%
Bid to cover ratio** 2.42 4.41 2.73
Weighted average rate -0.556% -0.568% -0.625%
ISIN Code FR0125692352 FR0125692410 FR0125533143
Date d'adjudication: 15/07/2019
Type
BTF
Durée
3 month
Type
BTF
Durée
6 month
Type
BTF
Durée
12 month
Auction date 15/07/2019 15/07/2019 15/07/2019
Issue 13 weeks 22 weeks 48 weeks
Settlement date 17/07/2019 17/07/2019 17/07/2019
Maturity 16/10/2019 18/12/2019 17/06/2020
Volume announced* 2,100 -- 2,500 1,200 -- 1,600 600 -- 1,000
Amount bid* 5,750 4,220 3,525
Amount served* 2,498 1,597 900
Non-competitive bids after auction* 0 160 105
Total amount issued* 2,498 1,757 1,005
Marginal rate -0.560% -0.600% -0.620%
Percentage served at marginal rate 84.25% 82.88% 100.00%
Bid to cover ratio** 2.30 2.64 3.92
Weighted average rate -0.563% -0.601% -0.621%
ISIN Code FR0125692360 FR0125692410 FR0125533143