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Paese: France
LEI 969500KCGF3SUYJHPV70

Nome del paese
Francia
Debito obbligazionario
2.601.293 ml USD

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800 000

obbligazioni

Oltre 400

fonti di prezzo

80 000

azioni

9 000

ETF

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Ultimi dati di

Statistiche del mercato obbligazionario Cbonds

Aggiungi indici da confrontare Applicare

Indici per il confronto

Chiudi
31/03/2024
682,848 USD Billion
31/03/2024
2.148,434 USD Billion
31/03/2024
682,848 USD Billion
31/03/2024
0,000 USD Billion
31/03/2024
27,101 USD Billion
31/03/2024
0,000 USD Billion
31/03/2024
4.701 Units
31/03/2024
33 Units
31/03/2024
33
31/03/2024
44 Units
31/03/2024
0 Units
31/03/2024
2 Units
31/03/2024
0 Units
31/03/2024
4.701 Units
31/03/2024
7.328 Units
31/03/2024
0 Units
31/03/2024
635 Units
31/03/2024
0 Units
31/03/2024
10,180 USD Billion
31/03/2024
25,484 USD Billion
31/03/2024
0,000 USD Billion
31/03/2024
0,130 USD Billion
31/03/2024
0,000 USD Billion
31/03/2024
10,180 USD Billion

Quotazioni

Richiesta inviata
Accesso negato
Le quotazioni ricevute dai fornitori di informazioni sono indicative

Profilo

Agence France Tresor is tasked with handling public debt and treasury management. It was created by a Ministry of the Economy, Finance and Foreign Trade order on 8 February 2001.

There are three categories of standardized government securities: OATs, BTANs and BTFs. These securities, whose nominal value is EUR 1, are distinguished by their maturity on issue.

Obligations assimilables du Tresor (OATs, or fungible Treasury bonds) are the government's long-term debt instruments with maturities from seven to fifty years. Most OATs are fixed-rate bonds redeemable on maturity. However, the Treasury also issues floating-rate bonds (TEC 10 OATs pegged to the constant 10-year maturity rate) and inflation-indexed bonds (OATi, OAT€i). OATs are auctioned on the first Thursday of each month.

Bons du Trésor à intérêts annuels (BTANs or negotiable fixed-rate medium-term Treasury notes with annual interest) represent medium-term government debt. On issue, their maturity is either two or five years.

Bons du Trésor à taux fixe et à intérêts précomptés (BTFs or negotiable fixed-rate discount Treasury bills) are the government's cash management instrument. They are used to cover short-term fluctuations in the government's cash position (less than one year), mainly due to differences in the pace with which revenues are collected and expenses are paid and in the debt amortization schedule. On issue, BTFs have a maturity of less than one year.

As of Q1 2013 total amount outstanding is EUR 1373 billion.

Riconoscimenti

Documentazione

Azioni

Ultime emissioni

Partecipazione ad organizzazioni internazionali

Debito obbligazionario in valuta

Codici

  • LEI
    969500KCGF3SUYJHPV70
  • SIC
    9199 General government

Credito e ESG Rating

Indicatori Macroeconomici

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