DEBT FINANCING – MAY 7, 2025

Issue Date
Wednesday, May 7, 2025
Maturity
Wednesday, March 7, 2029
Currency
EUR
Issued Amount (in millions)
1,100
Coupon
2.625%
ISIN Code
FR001400ZED2
Listing Market
Luxembourg
Moody's / S&P Rating
Aa3 / AA-