Debt issuance 2019

MONTH OF ISSUE AMOUNT AND CURRENCY MATURITY FINAL TERMS
ISIN CODE
June 500 M May, 25, 2019 FR0013431160 until the Assimilation Date and thereafter FR0012467991
January EUR 2.5 Bn October 25, 2023 FR0013399698 until the Assimilation Date and thereafter FR0013344181

CADES   -   139 rue de Bercy   -   75012 PARIS