Debt financing

ISIN Code Issue Date Maturity Currency Issued Amount
(in millions)
Coupon
FR0013482841 11/02/20 11/02/31 EUR 1,500 0.375%
FR0013482841 11/02/20 11/02/31 EUR 1,500 0.375%
FR0013482833 11/02/20 11/02/28 EUR 1,750 0.125%
FR0013482866 11/02/20 11/02/27 GBP 850 1.125%
FR0013482825 11/02/20 11/02/26 EUR 1,250 0.00%
FR001400HJE7 21/04/23 21/10/25 EUR 1,000 3.375%
FR001400KJP7 07/09/23 07/09/29 EUR 1,000 3.250%
FR001400KJO0 07/09/23 07/09/33 EUR 1,500 3.500%
FR001400QJ21 05/06/24 05/02/30 EUR 850 3.375%
FR001400QJ13 05/06/24 05/10/34 EUR 650 3.500%