Code ISIN | Date d'émission |
Devise | Montant nominal en devises |
Date de maturité |
Taux nominal |
Souche | |
---|---|---|---|---|---|---|---|
FR001400Y738 | 18/03/2025 | EUR | 15 000 000 | 18/03/2060 | 3.90% | I | |
FR001400XS13 | 05/03/2025 | EUR | 500 000 000 | 05/03/2035 | 3% | I | |
FR001400XS05 | 05/03/2025 | EUR | 750 000 000 | 05/03/2030 | 2.625% | I | |
FR001400WTK2 | 23/01/2025 | EUR | 25 000 000 | 23/01/2040 | 3.385% | I | |
FR001400UR33 | 19/12/2024 | EUR | 15 000 000 | 19/12/2044 | 3.235% | I | |
FR001400TM31 | 29/10/2024 | EUR | 500 000 000 | 29/10/2029 | 2.625% | I | |
FR001400SGD2 | 10/09/2024 | EUR | 1 000 000 000 | 10/03/2033 | 3.000% | I | |
FR001400QHS2 | 06/06/2024 | EUR | 1 500 000 000 | 06/06/2030 | 3.125% | I | |
FR001400PT53 | 03/05/2024 | EUR | 10 000 000 | 03/05/2044 | 3,528% | I | |
FR001400PMU0 | 24/04/2024 | EUR | 1 250 000 000 | 24/04/2027 | 3.125% | I | |
FR001400PMS4 | 24/04/2024 | EUR | 750 000 000 | 24/04/2032 | 3% | I | |
FR001400PMS4 | 05/12/2024 | EUR | 100 000 000 | 24/04/2032 | 3% | A | |
FR001400OEC8 | 04/03/2024 | USD | 150 000 000 | 04/09/2026 | 4.98% | I | |
FR001400M1I0 | 17/11/2023 | USD | 50 000 000 | 17/11/2025 | 5.34% | I | |
FR001400L933 | 16/10/2023 | EUR | 500 000 000 | 16/01/2029 | 3.625% | I | |
FR001400IYH7 | 29/06/2023 | USD | 150 000 000 | 29/06/2025 | 5.2% | I | |
FR001400HZD5 | 17/05/2023 | EUR | 1 000 000 000 | 17/05/2029 | 3.125% | I | |
FR001400GI73 | 16/03/2023 | EUR | 1 750 000 000 | 16/09/2031 | 3.375% | I | |
FR001400DXH0 | 18/11/2022 | EUR | 1 350 000 000 | 18/05/2027 | 3.125% | I | |
FR001400DXH0 | 08/03/2023 | EUR | 100 000 000 | 18/05/2027 | 3.125% | A |