Debt issuance 2022

MONTH OF ISSUE AMOUNT AND CURRENCY MATURITY FINAL TERMS
ISIN CODE
September EUR 5 Bn

25 November 2032

FR001400CVE3
September CNY 1Bn

26 September 2025

FR001400CP45
August EUR 3 Bn

25 November 2027

FR001400CHC6
July EUR 1.5 Bn

25 November 2029

FR001400BLG1 until the Assimilation Date and thereafter FR0014008E81
May USD 3.5 Bn

17 May 2025

XS2480532915
April EUR 5 Bn

25 May 2032

FR001400A3H2
February EUR 2 Bn

25 November 2029

FR0014008E81
February SEK 5 Bn

2 February 2032

FR00140082X1
January USD 3 Bn

26 January 2032

XS2436433333
January EUR 6 Bn

19 January 2032

FR0014007RB1

CADES   -   139 rue de Bercy   -   75012 PARIS