2022 base prospectus and supplements

Final terms

 
ISIN code Series Date of issue

FR001400CZ27

Issuer notice dated 25th November 2022

S-88 7th November 2022
FR001400DC49 S-94 31st October 2022
FR001400BQL0 S-84 12th September 2022
FR001400B082 S-71 8th August 2022
FR001400A2P7 S-65 27th June 2022
FR00140098L2 S-43 9th May 2022
FR0014009JT6 S-45 3rd May 2022
FR0014009OJ7 S-44 14th April 2022
FR0014008HZ9 S-38 15th March 2022
FR0014008HY2 S-37 15th March 2022

FR0014007SD5

Issuer notice dated 6th April 2022

S-35 7th March 2022

FR0014007S78

Issuer notice dated 6th April 2022

S-34 7th March 2022
FR0014007TJ0 S-33 27th January 2022
FR00140065D8 S-26 17th January 2022
FR0014006F33 S-25 10th January 2022

FR0014003NL8

Issuer notice dated 3rd November 2021

Issuer notice dated 12th November 2021

Issuer notice dated 6th December 2021

S-23 2nd November 2021

FR0014003HU1

S-15 14th June 2021

FR0014002RX6

S-8 26th April 2021

FR0014002IW7

S-7 12th April 2021

FR0014001SR8

Issuer notice dated 7 April 2021

S-4 8th March 2021

FR0014000ZH6

S-2 18th January 2021

FR0014000TU2

S-1 11th January 2021