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OAT auctions - April 2026 Click here to download the OAT auction history (.xls). OAT 25/11/2034 3.00% OAT 25/11/2035 3.50% OAT 25/06/2044 0.50% OAT 25/05/2048 2.00% OAT 24/09/2029 2.40% OAT 25/02/2031 2.70% OAT 25/05/2032 0.00% OAT 25/05/2033 3.00% OAT€i 25/07/2038 0.10% OAT€i 25/07/2043 0.95% OAT€i 25/07/2053 0.10% OATi 01/03/2039 0.55% Auction date 02/04/2026 02/04/2026 02/04/2026 02/04/2026 16/04/2026 16/04/2026 16/04/2026 16/04/2026 16/04/2026 16/04/2026 16/04/2026 16/04/2026 Settlement date 08/04/2026 08/04/2026 08/04/2026 08/04/2026 20/04/2026 20/04/2026 20/04/2026 20/04/2026 20/04/2026 20/04/2026 20/04/2026 20/04/2026 Volume announced* 10,500 -- 12,500 11,000 -- 13,000 1,500 -- 2,000 Amount bid* 7,275 11,644 4,131 2,995 11,590 10,550 5,911 5,994 1,564 1,077 989 1,354 Amount served* 3,246 6,185 1,721 1,348 4,355 4,494 2,023 2,122 664 310 294 430 Non-competitive bids after auction* 0 0 0 0 861 1,577 716 751 213 114 109 1 Total amount issued* 3,246 6,185 1,721 1,348 5,216 6,071 2,739 2,873 877 424 403 431 Stop price 95.50% 98.12% 53.18% 66.97% 98.55% 98.50% 82.48% 97.84% 83.16% 86.45% 59.64% 85.21% Percentage served at stop price 100.00% 66.13% 100.00% 100.00% 31.34% 53.31% 100.00% 100.00% 100.00% 100.00% 100.00% 100.00% Bid to cover ratio** 2.24 1.88 2.40 2.22 2.66 2.35 2.92 2.82 2.36 3.47 3.36 3.15 Weighted average price 95.52% 98.16% 53.22% 67.04% 98.57% 98.52% 82.50% 97.85% 83.28% 86.51% 59.73% 85.28% Weighted average rate 3.61% 3.73% 4.24% 4.35% 2.84% 3.03% 3.21% 3.34% 1.61% 1.87% 2.04% 1.85% ISIN Code FR001400QMF9 FR0014012II5 FR0014002JM6 FR0013257524 FR0014016G71 FR001400Z2L7 FR0014007L00 FR001400H7V7 FR001400AQH0 FR001400QCA1 FR0014008181 FR001400IKW5 * In millions of euros ** Amount bid/ Amount served Source: Agence France Trésor For more information about securities, click on their ISIN codes to see the related offering fact sheets. BTF auctions - April 2026 click here to download the BTF auction history (.xls). Type BTF Durée 3 month Type BTF Durée 6 month Type BTF Durée 12 month Type BTF Durée 12 month Auction date 07/04/2026 07/04/2026 07/04/2026 07/04/2026 Issue 13 weeks 28 weeks 46 weeks 50 weeks Settlement date 09/04/2026 09/04/2026 09/04/2026 09/04/2026 Maturity 08/07/2026 21/10/2026 24/02/2027 24/03/2027 Volume announced* 3,100 -- 3,500 1,400 -- 1,800 200 -- 600 1,800 -- 2,200 Amount bid* 14,844 7,987 3,034 8,640 Amount served* 3,493 1,800 597 2,200 Non-competitive bids after auction* 1,031 546 183 668 Total amount issued* 4,524 2,346 780 2,868 Marginal rate 2.260% 2.515% 2.645% 2.700% Percentage served at marginal rate 29.56% 79.11% 95.11% 10.67% Bid to cover ratio** 4.25 4.44 5.08 3.93 Weighted average rate 2.253% 2.509% 2.643% 2.694% ISIN Code FR0129437531 FR0129570588 FR0129437580 FR0129437598 Type BTF Durée 3 month Type BTF Durée 6 month Type BTF Durée 6 month Type BTF Durée 12 month Auction date 13/04/2026 13/04/2026 13/04/2026 13/04/2026 Issue 14 weeks 19 weeks 27 weeks 49 weeks Settlement date 15/04/2026 15/04/2026 15/04/2026 15/04/2026 Maturity 22/07/2026 26/08/2026 21/10/2026 24/03/2027 Volume announced* 3,200 -- 3,600 300 -- 700 1,300 -- 1,700 1,900 -- 2,300 Amount bid* 10,961 4,367 7,741 8,664 Amount served* 3,552 662 1,698 2,299 Non-competitive bids after auction* 1,036 185 517 696 Total amount issued* 4,588 847 2,215 2,995 Marginal rate 2.250% 2.335% 2.450% 2.635% Percentage served at marginal rate 100.00% 100.00% 80.30% 65.62% Bid to cover ratio** 3.09 6.60 4.56 3.77 Weighted average rate 2.248% 2.335% 2.448% 2.634% ISIN Code FR0129570521 FR0129437556 FR0129570588 FR0129437598 Type BTF Durée 3 month Type BTF Durée 6 month Type BTF Durée 6 month Type BTF Durée 12 month Auction date 20/04/2026 20/04/2026 20/04/2026 20/04/2026 Issue 13 weeks 24 weeks 26 weeks 52 weeks Settlement date 22/04/2026 22/04/2026 22/04/2026 22/04/2026 Maturity 22/07/2026 07/10/2026 21/10/2026 21/04/2027 Volume announced* 3,000 -- 3,400 300 -- 700 1,500 -- 1,900 1,600 -- 2,000 Amount bid* 12,312 3,391 11,195 8,084 Amount served* 3,399 700 1,899 2,000 Non-competitive bids after auction* 0 0 0 0 Total amount issued* 3,399 700 1,899 2,000 Marginal rate 2.160% 2.290% 2.320% 2.480% Percentage served at marginal rate 76.36% 28.97% 63.99% 33.60% Bid to cover ratio** 3.62 4.84 5.90 4.04 Weighted average rate 2.159% 2.286% 2.319% 2.476% ISIN Code FR0129570521 FR0129287316 FR0129570588 FR0129570620 * In millions of euros ** Amount bid/ Amount served Source: Agence France Trésor For more information about securities, click on their ISIN Codes to see the related offering fact sheets. 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