---
source: Agence France Trésor
url: https://www.aft.gouv.fr/en/dernieres-adjudications
document_type: html
date_retrieved: 2026-04-13
period: April 13, 2026 auction
parent_publication: BTF Auction Results (Daily)
indicators_covered: [3-Month BTF Yield, 6-Month BTF Yield, 12-Month BTF Yield]
---

# French Treasury Bill (BTF) Auction Results — April 13, 2026

**Source:** Agence France Trésor (AFT)  
**Release date:** April 13, 2026  
**Auction date:** April 13, 2026  
**Settlement date:** April 15, 2026

---

## 3-Month BTF (14-week)

- **Marginal rate:** 2.250%
- **Weighted average rate:** 2.248%
- **Volume announced:** €3,200–3,600 million
- **Amount bid:** €10,961 million
- **Amount served:** €3,552 million
- **Bid-to-cover ratio:** 3.09
- **Maturity:** July 22, 2026
- **ISIN:** FR0129570521

---

## 6-Month BTF (27-week)

- **Marginal rate:** 2.450%
- **Weighted average rate:** 2.448%
- **Volume announced:** €1,300–1,700 million
- **Amount bid:** €7,741 million
- **Amount served:** €1,699 million
- **Bid-to-cover ratio:** 4.56
- **Maturity:** October 21, 2026
- **ISIN:** FR0129570588

---

## 12-Month BTF (49-week)

- **Marginal rate:** 2.635%
- **Weighted average rate:** 2.634%
- **Volume announced:** €1,900–2,300 million
- **Amount bid:** €8,664 million
- **Amount served:** €2,299 million
- **Bid-to-cover ratio:** 3.77
- **Maturity:** March 24, 2027
- **ISIN:** FR0129437598

---

## Notes

- All figures are percentages for yields; volumes in millions of euros.
- Marginal rate = highest accepted yield; weighted average rate = actual average yield on allotted amounts.
- Non-competitive bids: 0 for all tenors on this auction.
- Source data last updated: April 13, 2026 (M.A.J).
