DEBT FINANCING – February 11, 2020

Tuesday, February 11, 2020
EUR 1,750 million Issue – FR0013482809

Final Terms for the EUR 1,750 million FRN bond maturing February 11th, 2022
2019 Base Prospectus with Supplements

Issue Date Tuesday, February 11, 2020
Maturity Friday, February 11, 2022
Currency EUR
Issued Amount (in millions) 1,750
Coupon 3m Euribor + 0,20%
ISIN Code FR0013482809
Listing Market Luxembourg
Moody's / S&P Rating A1/A+