Medium- and long-term debt outstanding

ISIN Code Bond Outstanding (€)
Code ISIN Libellé Encours (€)
Maturity 2032
FR001400BKZ3 OAT 2.00% 25 November 2032 51,001,000,000.00
Code ISIN Libellé Encours (€)
Maturity 2033
FR001400H7V7 OAT 3.00% 25 May 2033 42,504,000,000.00
FR001400L834 OAT 3.50 % 25 november 2033 47,250,000,000.00
Code ISIN Libellé Encours (€)
Maturity 2034
FR0013313582 OAT 1.25% 25 May 2034 60,455,000,000.00
FR001400QMF9 OAT 3.00 % 25 November 2034 28,262,000,000.00
Code ISIN Libellé Encours (€)
Maturity 2035
FR0010070060 OAT 4.75% 25 April 2035 29,004,000,000.00
Code ISIN Libellé Encours (€)
Maturity 2036
FR0013154044 OAT 1.25% 25 May 2036 48,752,000,000.00
Code ISIN Libellé Encours (€)
Maturity 2038
FR0014009O62 OAT 1.25% 25 May 2038 29,910,000,000.00
FR0010371401 OAT 4.00% 25 October 2038 26,534,000,000.00
Code ISIN Libellé Encours (€)
Maturity 2039
FR0013234333 GREEN OAT 1.75% 25 June 2039 35,110,000,000.00
Code ISIN Libellé Encours (€)
Maturity 2040
FR0013515806 OAT 0.50% 25 May 2040 30,189,000,000.00
Code ISIN Libellé Encours (€)
Maturity 2041
FR0010773192 OAT 4.50% 25 April 2041 38,446,000,000.00
Code ISIN Libellé Encours (€)
Maturity 2043
FR001400CMX2 OAT 2.50% 25 May 2043 21,099,000,000.00
Code ISIN Libellé Encours (€)
Maturity 2044
FR0014002JM6 Green OAT 0.50% 25 June 2044 22,310,000,000.00
Code ISIN Libellé Encours (€)
Maturity 2045
FR0011461037 OAT 3.25% 25 May 2045 31,657,000,000.00
Code ISIN Libellé Encours (€)
Maturity 2048
FR0013257524 OAT 2.00% 25 May 2048 30,644,000,000.00
Code ISIN Libellé Encours (€)
Maturity 2049
FR001400NEF3 Green OAT 3.00% 25 June 2049 9,917,000,000.00
Code ISIN Libellé Encours (€)
Maturity 2050
FR0013404969 OAT 1.50% 25 May 2050 33,195,000,000.00
Code ISIN Libellé Encours (€)
Maturity 2052
FR0013480613 OAT 0.75% 25 May 2052 33,622,000,000.00
Code ISIN Libellé Encours (€)
Maturity 2053
FR0014004J31 OAT 0.75% 25 May 2053 33,416,000,000.00
Code ISIN Libellé Encours (€)
Maturity 2054
FR001400FTH3 OAT 3.00 % 25 May 2054 25,978,000,000.00
Code ISIN Libellé Encours (€)
Maturity 2055
FR0010171975 OAT 4.00% 25 April 2055 22,640,000,000.00
FR001400OHF4 OAT 3.25% 25 May 2055 17,642,000,000.00
Code ISIN Libellé Encours (€)
Maturity 2060
FR0010870956 OAT 4.00% 25 April 2060 21,485,000,000.00
Code ISIN Libellé Encours (€)
Maturity 2066
FR0013154028 OAT 1.75% 25 May 2066 18,394,000,000.00
Code ISIN Libellé Encours (€)
Maturity 2072
FR0014001NN8 OAT 0.50% 25 May 2072 13,218,000,000.00