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MONTH OF ISSUE AMOUNT AND CURRENCY MATURITY FINAL TERMS
ISIN CODE
September USD 4 Bn September 23,2025 XS2233264550
September EUR 5 Bn November 25, 2030 FR0013534559
May USD 3 Bn May 19,2023 XS2176691207
March USD 100 M March 25,2023 FR0013499852
March  EUR 250 M November 25,2022 FR0013496437until the Assimilation Date and thereafter FR0013235165
February  CNY 1 Bn February 26, 2023   FR0013477973
January  EUR 750 M October 25, 2023   FR0013477973 until the Assimilation Date and thereafter FR0013344181