Debt issuance


Issuance programmes

Programme for the Issuances of Notes September 2021

Base Prospectus French PDF 4.26 MB

Programme for the Issuances of Notes July 2020

Base prospectus French PDF 3.63 MB

Programme for the Issuances of Notes July 2019

Base prospectus French PDF 3.10 MB

Programme for the Issuances of Notes April 2018

Base prospectus French PDF 2.94 MB

Supplement 1 to Base Prospectus French PDF 440.80 KB

Programme for the Issuances of Notes March 2016

Base prospectus French PDF 2.76 MB

EMTN Programme October 2022

Base Prospectus English PDF 1.64 MB

Supplement 1 to Base Prospectus English PDF 224.55 KB

Supplement 2 to Base Prospectus English PDF 289.46 KB

EMTN Programme September 2021

Base Prospectus English PDF 1.63 MB

Supplement 1 to Base Prospectus English PDF 582.62 KB

Supplement 2 to Base Prospectus English PDF 581.87 KB

EMTN Programme April 2020

Base Prospectus English PDF 1.53 MB

EMTN Programme April 2019

Base Prospectus English PDF 1.53 MB

Supplement 1 to Base Prospectus English PDF 665.95 KB

Supplement 2 to Base Prospectus English PDF 624.27 KB

Supplement 3 to Base Prospectus English PDF 613.20 KB

EMTN Programme September 2018

Base Prospectus English PDF 1.49 MB

EMTN Programme September 2017

Base Prospectus English PDF 1.48 MB

Supplement 1 to Base Prospectus English PDF 367.25 KB

Supplement 2 to Base Prospectus English PDF 473.50 KB

Supplement 3 to Base Prospectus English PDF 377.03 KB

EMTN Programme January 2017

Base Prospectus English PDF 1.40 MB

Supplement 1 to Base Prospectus English PDF 79.95 KB

Supplement 2 to Base Prospectus English PDF 355.82 KB

EMTN Programme January 2016

Base Prospectus English PDF 1.35 MB

Supplement 1 to Base Prospectus English PDF 301.97 KB

EMTN Programme December 2014

Base Prospectus English PDF 1.30 MB

Supplement 1 to Base Prospectus English PDF 177.68 KB

Supplement 2 to Base Prospectus English PDF 298.39 KB

Supplement 3 to Base Prospectus English PDF 371.08 KB

EMTN Programme January 2014

Base Prospectus English PDF 1.38 MB

Supplement 1 to Base Prospectus English PDF 462.19 KB

Supplement 2 to Base Prospectus English PDF 460.81 KB

EMTN Programme 2012

Base Prospectus English PDF 591.03 KB

Supplement 1 to Base Prospectus English PDF 103.22 KB

Supplement 2 to Base Prospectus English PDF 84.21 KB

EMTN Programme 2011

Base Prospectus English PDF 553.56 KB

Supplement 1 to Base Prospectus English PDF 118.98 KB

EMTN Programme 2010

Base Prospectus English PDF 988.56 KB

Supplement 1 to Base Prospectus English PDF 40.19 KB

Supplement 2 to Base Prospectus English PDF 46.41 KB

Supplement 3 to Base Prospectus English PDF 41.71 KB

EMTN Programme 2009

Base Prospectus English PDF 778.17 KB

Supplement 1 to Base Prospectus English PDF 26.27 KB

Supplement 2 to Base Prospectus English PDF 98.60 KB

Supplement 3 to Base Prospectus English PDF 46.95 KB

Supplement 4 to Base Prospectus English PDF 29.87 KB

EMTN Programme 2008

Base Prospectus English PDF 846.36 KB

Supplement 1 to Base Prospectus English PDF 31.68 KB

Supplement 2 to Base Prospectus English PDF 26.55 KB

Supplement 3 to Base Prospectus English PDF 33.93 KB

Supplement 4 to Base Prospectus English PDF 27.97 KB

EMTN Programme 2007

Base Prospectus English PDF 849.60 KB

Supplement 1 to Base Prospectus English PDF 31.68 KB

Supplement 2 to Base Prospectus English PDF 27.70 KB

Supplement 3 to Base Prospectus English PDF 31.01 KB

EMTN Programme 2006

Base Prospectus English PDF 2.30 MB

Supplement 1 to Base Prospectus English PDF 34.17 KB

Supplement 2 to Base Prospectus English PDF 31.40 KB

EMTN Programme 2005

Base Prospectus English PDF 534.64 KB

Supplement 1 to Base Prospectus English PDF 32.22 KB

Supplement 2 to Base Prospectus English PDF 521.56 KB

EMTN Programme 2004

Offering Circular English PDF 14.75 MB

Programme of Certificates of Deposit and Negotiable Medium Term Notes 2015

Financial Documentation French PDF 510.35 KB

Offering Memorandum April 2021

Supplement 2 to the Offering Memorandum English PDF 392.40 KB

Offering Memorandum English PDF 3.27 MB

Offering Memorandum April 2020

Offering Memorandum English PDF 3.13 MB

Offering Memorandum November 2019

Offering Memorandum English PDF 3.31 MB

Offering Memorandum November 2018

Offering Memorandum English PDF 2.70 MB

Offering Memorandum November 2017

Offering Memorandum English PDF 2.33 MB

Offering Memorandum January 2017

Offering Memorandum English PDF 1.86 MB

Supplement 1 to the Offering Memorandum English PDF 201.17 KB

Supplement 2 to the Offering Memorandum English PDF 262.87 KB

Offering Memorandum January 2016

Offering Memorandum English PDF 1.46 MB

Supplement 1 to the Offering Memorandum English PDF 233.25 KB

Offering Memorandum January 2015

Offering Memorandum English PDF 1.68 MB

Supplement 1 to the Offering Memorandum English PDF 235.79 KB

Supplement 2 to the Offering Memorandum English PDF 234.79 KB

Supplement 3 to the Offering Memorandum English PDF 126.77 KB

EUR 30,000,000 Autocallable Notes due October 2033 linked to the ordinary shares of ENGIE (ISIN: FR001400KII4) English PDF 145.55 KB

EUR 30,000,000 Recovery Coupon Autocallable Notes due September 2026 linked to a Basket of Securities (ISIN: FR001400KR35) English PDF 168.89 KB

EUR 50,000,000 Floating Rate Notes due September 2025 (ISIN: FR001400KR50) English PDF 367.07 KB

EUR 30,000,000 Digital Recovery Coupon Autocallable Index-linked Notes due August 2028 (ISIN: FR001400KDD6) English PDF 507.26 KB

Issue of Up to EUR 120,000,000 Autocallable Index-linked Notes due December 2031 (ISIN: FR001400JXO3) English PDF 1.61 MB

EUR 500,000 Autocallable Index-linked Notes due August 2030 (ISIN: FR001400K3F4) English PDF 501.60 KB

EUR 145,000,000 Floating Rate Notes due August 2026 (ISIN: FR001400KEC6) English PDF 390.92 KB

EUR 209,000,000 Fixed Rate Notes due August 2025 (ISIN: FR001400KEB8) English PDF 341.86 KB

EUR 35,000,000 Recovery Coupon Autocallable Share-linked Notes due August 2033 (ISIN: FR001400IWP4) English PDF 569.99 KB

EUR 30,000,000 Recovery Coupon Autocallable Index-linked Notes due July 2028 (ISIN: FR001400J9F4) English PDF 216.98 KB

EUR 30,000,000 Autocallable Index-linked Notes due July 2028 (ISIN: FR001400JBF7) English PDF 124.41 KB

EUR 30,000,000 Autocallable Index-linked Digital Coupon Recovery Notes due June 2028 (ISIN: FR001400IQH3) English PDF 138.94 KB

EUR 30,000,000 Autocallable Index-linked Notes due June 2030 (ISIN: FR001400IIF4) English PDF 151.09 KB

EUR 30,000,000 Autocallable Index-linked Notes due May 2030 (ISIN: FR001400I6P0) English PDF 452.91 KB

EUR 30,000,000 Autocallable Index-linked Digital Coupon Recovery Notes due May 2028 (ISIN: FR001400HZI4) English PDF 448.69 KB

EUR 30,000,000 Autocallable Digital Coupon Recovery Notes due 2028 (ISIN: FR001400HOD9) English PDF 471.54 KB

EUR 30,000,000 Autocallable Digital Coupon Recovery Notes due May 2028 English PDF 510.09 KB

EUR 30,000,000 Autocallable Digital Coupon Recovery Notes due 2028 linked to a Basket of Indices English PDF 750.90 KB

EUR 30,000,000 Autocallable Index-Linked Notes due 2026 (ISIN: FR001400GX41) English PDF 483.87 KB

EUR 6,000,000 Autocallable Digital Coupon Recovery Notes due 2026 linked to a Basket of Shares (ISIN: FR001400GFJ6) English PDF 164.25 KB

25 M USD Index Linked Certificates Issued July 2019 with July 2023 maturity English PDF 576.16 KB

25 M USD Index Linked Certificates Issued July 2019 with July 2025 maturity English PDF 567.75 KB

34 M USD Index Linked Certificates Issued August 2019 with August 2023 maturity English PDF 522.11 KB

Notice to the holders of the NEU MTN due April 2025 (ISIN Code: FR0013224334) Issued pursuant to the prospectus dated 4 January 2017 French PDF 122.50 KB

50 M Euros zero coupon Issued April 2016 with April 2046 maturity English PDF 68.27 KB

26 M Euros at fixed rate Issued April 2016 with April 2036 maturity English PDF 134.99 KB

45 M Euros at fixed rate Issued April 2016 with April 2031 maturity English PDF 217.75 KB

25 M Euros at fixed rate Issued May 2016 with May 2026 maturity English PDF 66.55 KB

54 M Euros at fixed rate Issued May 2015 with May 2025 maturity English PDF 150.38 KB

50 M Euros at fixed rate Issued April 2015 with April 2018 maturity English PDF 279.93 KB

1, 000 M Euros at floating rate Issued November 2015 with November 2019 maturity English PDF 135.16 KB

1, 000 M Euros at floating rate Issued September 2015 with September 2017 maturity English PDF 179.74 KB

70 M Euros at fixed rate Issued June 2015 with June 2018 maturity English PDF 158.36 KB

70 M Euros at floating rate Issued November 2015 with November 2017 maturity English PDF 464.73 KB

25 M Euros at fixed rate Issued May 2015 with May 2030 maturity English PDF 160.45 KB

2,000 Million Euros at floating rate Issued January 2014 with January 2015 maturity English PDF 114.82 KB

90 Million Euros at floating rate Issued January 2014 with January 2016 maturity English PDF 251.94 KB

50 Million Euros at floating rate Issued March 2014 with a March 2017 maturity English PDF 190.44 KB

60 Million Euros at floating rate Issued May 2014 with a May 2016 maturity English PDF 106.44 KB

50 Million Euros at floating rate Issued July 2014 with a July 2019 maturity English PDF 126.75 KB

50 Million Euros at floating rate Issued October 2014 with an October 2024 maturity English PDF 87.84 KB

5 Million Euros at floating rate Issued October 2014 with an October 2024 maturity English PDF 88.87 KB

1,000 Million Euros at fixed rate Issued December 2013 with a December 2018 maturity English PDF 140.82 KB

1,000 Million Euros at fixed rate Issued January 2013 with a January 2020 maturity English PDF 143.19 KB

666.8 Million Euros at floating rate Issued December 2012 with a December 2014 maturity English PDF 496.79 KB

120 Million Euros in 10-year index linked interest notes Issued August 2011 with an August 2023 maturity English PDF 487.31 KB

100 Million Euros at floating rate Issued June 2011 with a June 2015 maturity English PDF 461.86 KB

125 Million Euros at floating rate Issued May 2011 with a December 2012 maturity English PDF 501.63 KB

600 Million Euros at floating rate Issued December 2010 with an August 2012 maturity English PDF 491.57 KB

50 Million CHF at floating rate Issued February 2010 with a February 2012 maturity English PDF 200.20 KB

750 Million Euros at floating rate Issued February 2010 with a February 2012 maturity English PDF 199.95 KB

1,500 Million Euros at fixed rate Issued January 2009 with a January 2014 maturity English PDF 200.28 KB

30 Million Euros at fixed rate Issued July 2008 with a July 2018 maturity English PDF 48.50 KB

1,500 Million Euros at fixed rate Issued June 2008 with a June 2013 maturity English PDF 213.37 KB

58 Million Euros in Index Linked Interest Notes Issued June 2008 with a June 2018 maturity English PDF 132.78 KB

40 Million Euros in Index Linked Notes (European CPI) Issued June 2008 with a June 2018 maturity English PDF 330.35 KB

100 Million Euros in Index Linked Notes (European CPI) Issued June 2008 with a June 2018 maturity English PDF 83.48 KB

10 Million Euros in “CMS Spread Booster” bonds Issued January 2008 with a January 2012 maturity English PDF 1.02 MB

30 Million Euros at variable rate Issued May 2007 with a May 2022 maturity English PDF 1.20 MB

3.5 Million Euros in “Best of Spread” Notes Issued April 2007 with an April 2012 maturity English PDF 592.63 KB

1,500 Million Euros at variable rate Issued December 2006 with a December 2013 maturity English PDF 994.88 KB

4 Million Euros at variable rate Issued November 2006 with a November 2013 maturity English PDF 1.14 MB

10 Million Euros at variable rate Issued November 2006 with a July 2021 maturity English PDF 765.86 KB

65 Million Euros at variable rate Issued November 2006 with a July 2021 maturity English PDF 774.50 KB

10 Million Euros zero coupon Issued October 2006 with an October 2011 maturity English PDF 1.12 MB

124.5 Million Euros at floating rate Issued October 2006 with an October 2026 maturity English PDF 1.27 MB

88 Million Euros at variable rate Issued October 2006 with a September 2026 maturity English PDF 1.29 MB

10 Million Euros at variable rate Issued October 2006 with an October 2011 maturity English PDF 1.07 MB

122.5 Million Euros at fixed, then floating rate Issued October 2006 with an October 2026 maturity English PDF 87.97 KB

80 Million Euros at fixed, then floating rate Issued September 2006 with a September 2026 maturity English PDF 1.26 MB

110 Million Euros at floating rate Issued July 2006 with a July 2021 maturity English PDF 1.07 MB

3.5 Million Euros at floating rate Issued June 2006 with a June 2016 maturity English PDF 641.70 KB

10 Million Euros at floating rate Issued May 2006 with a May 2021 maturity English PDF 204.24 KB

100 Million Euros at floating rate Issued May 2006 with a May 2021 maturity English PDF 254.60 KB

100 Million Euros at floating rate Issued April 2006 with an April 2021 maturity English PDF 820.70 KB


Public offerings

Please note that these documents are available in French only.


Standalone issuances