Maturity March 20, 2022 – ISIN FR0012649333
EUR 750M April 02, 2015 Bond Issue - Maturity March 20, 2022 - Final terms March 2015 (FR)
Maturity March 20, 2023 – ISIN FR0013173358
EUR 500M May 20, 2016 Bond Issue - Maturity March 20, 2023 - Final terms May 2016 (FR)
EUR 250M January 30, 2017 Bond Issue - Maturity March 20, 2023 - Final terms January 2017 (FR)
Maturity March 20, 2023 – ISIN FR00140021M2
USD 100M February 17, 2021 Bond Issue - Maturity March 20, 2023 - Final terms February 2021 (FR)
Maturity June 20, 2024 – ISIN FR0013256534
EUR 500M May 17, 2017 Bond Issue - Maturity June 20, 2024 - Final terms May 2017 (FR)
EUR 250M December 5, 2017 Bond Issue - Maturity June 20, 2024 - Final terms November 2017 (FR)
EUR 70M November 22, 2022 Bond Issue - Maturity June 20, 2024 - Final terms November 2021 (FR)
Maturity February 10, 2025 – ISIN FR001400FSD4
USD 125M February 10, 2023 Bond Issue - Maturity February 10, 2025 - Final terms February 2023 (FR)
Maturity June 20, 2025 – FR0014007Z61
GBP 250M February 07, 2022 Bond Issue - Maturity June 20, 2025 - Final terms February 2022 (FR)
GBP 90M December 09, 2022 Bond Issue - Maturity June 20, 2025 - Final terms December 2022 (FR)
GBP 110M January 23, 2022 Bond Issue - Maturity June 20, 2025 - Final terms January 2023 (1) (FR)
GBP 50M January 27, 2022 Bond Issue - Maturity June 20, 2025 - Final terms January 2023 (2) (FR)