On Monday 26 September 2022, at 2.50 p.m., Paris time, Agence France Trésor will auction the following securities:
BTF 3 month | BTF 6 month | BTF 12 month | |
---|---|---|---|
Auction date |
26/09/2022
|
26/09/2022
|
26/09/2022
|
Issue | 14 weeks | 23 weeks | 49 weeks |
Settlement date |
28/09/2022
|
28/09/2022
|
28/09/2022
|
Maturity | 04/01/2023 | 08/03/2023 | 06/09/2023 |
Volume announced* | < 2,500 -- 2,900 > | < 1,200 -- 1,600 > | < 1,100 -- 1,500 > | ISIN Code | FR0127034694 | FR0127317008 | FR0127317032 |