---
source: Dipartimento del Tesoro (Ministero dell'Economia e delle Finanze)
url: https://www.dt.mef.gov.it/export/sites/sitodt/modules/documenti_en/debito_pubblico/risultati_aste/risultati_aste_bot_12_mesi/12-Month-BOTs-Auction-Results-11-12.03.2026.pdf
alternate_url: https://www.dt.mef.gov.it/en/news/2026/risultati_aste_bot_11_03_2026.html
document_type: pdf
date_retrieved: 2026-03-15
period: BOT auction held on 11 March 2026 (settlement 13 March 2026)
parent_publication: Details announcement on the placement of today's BOT auction
indicators_covered: [52 Week Bill Yield]
country: IT
indicator: 52 Week Bill Yield
currency: EUR
unit: "%"
---

# 12 Month BOTs Auction Results 11-12.03.2026

## Full extracted text (original wording)

Ministero dell'Economia e delle Finanze
Auction Results: 12 MONTH BOTS
Date: March 11, 2026 - March 12, 2026
ISIN Code IT0005699340
Tranche 1st - 2nd
Days to Maturity 364
Issue date March 13, 2026
Maturity Date March 12, 2027
Auction Date March 11, 2026
Settlement Date March 13, 2026
Amount Offered 8,000.000
Amount Bid 11,552.001
Amount Allotted 8,000.000
Weighted Average Price 97.658
Weighted Average Yield 2.372%
Maximum Accepted Yield 2.374%
Minimum Accepted Yield 2.367%
Bid To Cover Ratio 1.44
Cut-off Yield 3.371%
Gross Compound Yield 2.372%
Price for fiscal purpose 97.658
Amount Offered to Specialists 800.000
Amount Bid to Specialists 0.000
Amount Allotted to Specialists 0.000
Issue Volume
Outstanding 8,000.000
Allotted to Specialists in supplementary
placements 0.000
Nominal Amounts are expressed in millions of Euros.
Gross Yields are calculated on 360 days basis.
If not specified, yields are intended as simple gross yields.

## Source page (release listing)

https://www.dt.mef.gov.it/en/news/2026/risultati_aste_bot_11_03_2026.html
