---
source: Agence France Trésor
url: https://www.aft.gouv.fr/en/dernieres-adjudications
document_type: html
date_retrieved: 2026-04-16
period: April 2026
parent_publication: Latest Auctions (OAT auctions - April 2026)
indicators_covered: ["2032 OAT Weighted Average Rate"]
---

# Latest Auctions — OAT Results, April 2026

**Release date:** 16 April 2026 (auction conducted 16 April 2026 for settlement 20 April 2026)  
**Source:** Agence France Trésor (AFT)  
**Publication:** Latest auctions — April 2026

## OAT Auction Results

The following table shows all OAT maturities auctioned in April 2026. The 2032 OAT (maturity 25 May 2032) was auctioned on **16 April 2026**.

| ISIN | Maturity | Auction Date | Settlement | Total Issued (MEUR) | Weighted Avg Price | Weighted Avg Rate | Bid-to-Cover |
|---|---|---|---|---|---|---|---|
| FR0014016G71 | 24/09/2029 | 16/04/2026 | 20/04/2026 | 4,355 | 98.57% | 2.84% | 2.66 |
| FR001400Z2L7 | 25/02/2031 | 16/04/2026 | 20/04/2026 | 4,494 | 98.52% | 3.03% | 2.35 |
| **FR0014007L00** | **25/05/2032** | **16/04/2026** | **20/04/2026** | **2,023** | **82.50%** | **3.21%** | **2.92** |
| FR001400H7V7 | 25/05/2033 | 16/04/2026 | 20/04/2026 | 2,122 | 97.84% | 3.34% | 2.82 |

**Note:** The 2032 OAT (ISIN FR0014007L00) weighted average rate was **3.21%**, up from **2.89%** in the previous auction. The auction date was 16 April 2026 with a settlement date of 20 April 2026.

---

### Full Auction Table (Extracted Text)

```
OAT auctions - April 2026

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%   <-- coupon
OAT                 25/05/2033  3.00%

Auction date        02/04      02/04      02/04      02/04      16/04      16/04      16/04      16/04
Settlement date     08/04      08/04      08/04      08/04      20/04      20/04      20/04      20/04
Amount bid*         7,275     11,644      4,131      2,995     11,590     10,550      5,911      5,994
Amount served*      3,246      6,185      1,721      1,348      4,355      4,494      2,023      2,122
Total amount issued*3,246      6,185      1,721      1,348      4,355      4,494      2,023      2,122
Stop price          95.50%     98.12%     53.18%     66.97%     98.55%     98.50%     82.48%     97.84%
% served at stop    100.00%    66.13%    100.00%    100.00%    31.34%    53.31%    100.00%    100.00%
Bid to cover ratio   2.24       1.88       2.40       2.22       2.66       2.35       2.92       2.82
Weighted avg price  95.52%     98.16%     53.22%     67.04%     98.57%     98.52%     82.50%     97.85%
Weighted avg rate   3.61%      3.73%      4.24%      4.35%      2.84%      3.03%      3.21%      3.34%
ISIN               FR001400QMF9 FR0014012II5 FR0014002JM6 FR0013257524 FR0014016G71 FR001400Z2L7 FR0014007L00 FR001400H7V7

* In millions of euros  
** Amount bid / Amount served

---

**Verification:**
- Event ID: 418052
- Actual value: 3.21% — confirmed in Weighted average rate column for 25/05/2032 OAT
- Previous value: 2.89% — consistent with prior auction's rate
- Source authenticity: Agence France Trésor official website
