ISIN Format Program Date of issue Maturity date Currency

Amount issued (in millions)

Notices Green or social issue
FR001400NU45 SP EMTN 02/13/2024 06/13/2030 EUR 750    
FR001400N1S8 SP Structured notes

02/12/2024

04/19/2032

EUR 400 Notice to the investors Green issue
FR001400M6C2 SP Structured notes 01/15/2024 03/22/2034 EUR 1,000 Notice to the investors  
FR001400LNR3 SP Structured notes 01/08/2024 03/08/2032 EUR 600 - -
CH1277240938 SP EMTN 07/12/2023 07/12/2027 CHF                                         183.67 - -
CH1277240946 SP EMTN 07/12/2023 07/12/2030 CHF                                         153.06 - -
FR001400HOZ2 SP EMTN 05/03/2023 05/03/2028 EUR  1,000  - -
FR001400FJY9  SP Structured notes 03/06/2023 08/05/2029 EUR                                         300 - Social issue
FR001400G6D8  SP Structured notes 03/06/2023 03/06/2026 EUR                                             1.50 - Social issue
FR001400F5F6 SNP EMTN 01/17/2023 01/17/2030 EUR 750 - -
FR001400E9Q6 SP Structured notes 01/16/2023 03/22/2033 EUR 67.381 - Social issue
FR001400E9R4 SP Structured notes 01/16/2023 03/19/2029 EUR                                         180.50 - Green issue
FR001400DLD4 T2 EMTN 12/05/2022 03/05/2029 EUR 500 - -
 FR00140087C4 SNP  EMTN (tap) 12/01/2022 02/09/2027 EUR 150 - -
FR001400CZ27  SP Structured notes 11/07/2022 01/04/2029 EUR                                         162.17 - Social issue
FR001400DC49 SP Structured notes 10/31/2022 10/31/2025 EUR                                             1 - Green issue
FR001400D5M4 SP Structured notes 10/07/2022 10/07/2027 EUR                                             1.20 - -
FR001400CWQ5 SNP EMTN 10/06/2022 10/06/2034 EUR 100 - -
FR001400CR01 SNP EMTN 09/21/2022 09/21/2027 GBP 425 - -
FR001400BQL0 SP Structured notes 09/12/2022 11/13/2028 EUR                                     124.378   - Social issue
FR001400B082  SP Structured notes 08/08/2022 10/10/2034 EUR                                             6.58 - -
FR001400A2P7 SP Structured notes 06/27/2022 08/19/2030 EUR                                           68,80 - Green issue
FR0014003HU1 SP Structured notes 06/14/2021 08/13/2029 EUR                                           49.37 - -
FR00140098L2 SP Structured notes 05/09/2022 07/08/2030 EUR                                           78.50 - Green issue
FR0014009JT6 SP Structured notes 05/03/2022 06/24/2032 EUR                                           24.59 - -
FR0014009OJ7 SP Structured notes 04/14/2022 04/14/2025 EUR                                             5 - -
FR0014008HY2 SP Structured notes 03/15/2022 11/15/2028 EUR                                           55 - -
FR0014008HZ9 SP Structured notes 03/15/2022 02/15/2029 EUR                                           30 - -
FR0014007S78 SP Structured notes 03/07/2022 05/07/2030 EUR                                           28.60 - Social issue
FR0014007SD5 SP Structured notes 03/07/2022 05/06/2027 EUR                                           59.20 - Social issue
 FR00140087C4 SNP EMTN 02/09/2022 02/09/2027 EUR 500 - -
FR0014007TJ0 SP Structured notes 01/27/2022 01/27/2029 EUR                                             3 - Social issue
FR00140065D8 SP Structured notes 01/17/2022 03/23/2032 EUR                                           66.39 - Green issue
FR0014006F33 SP Structured notes 01/10/2022 03/11/2030 EUR                                           51,25 - Green issue
FR0014003NL8  SP Structured notes 11/02/2021 12/31/2026 EUR                                           71.91 - Social issue
FR0014005O90 AT1 Stand alone 09/29/2021 05/20/2029 EUR 750 - -
FR00140044X1 SNP EMTN 06/23/2021 06/23/2031 EUR 750 - Social issue
FR0014001SR8 SP Structured notes 03/08/2021 05/10/2029 EUR                                           34.87 Notice to the investors -
FR0014001R34 T2 EMTN (tap) 04/27/2021 08/03/2027 EUR 250 - -
FR0014002RX6  SP Structured notes 04/26/2021 06/25/2029 EUR                                           34.71 - Green issue
FR0014002IW7  SP Structured notes 04/12/2021 03/11/2031 EUR                                             2 - -
FR0014001R34 T2 EMTN 02/02/2021 08/03/2027 EUR 500 - -
FR0014000ZH6 SP Structured notes 01/18/2021 03/26/2031 EUR                                           51.36 - Green issue
FR0014000TU2 SP Structured notes 01/11/2021 03/19/2029 EUR                                           77.40 - Green issue
FR00140003C1 SP EMTN 11/02/2020 01/04/2029 EUR                                           41 - -
FR00140009W6 T2 EMTN 10/26/2020 01/26/2026 EUR 500 - -
FR00140006B6 SP EMTN 10/26/2020 12/27/2028 EUR 10 - -
FR00140000X3 SP EMTN 10/13/2020 12/18/2025 EUR 50 - -
FR0013525540 SP EMTN 08/31/2020 10/23/2028 EUR                                           50.42 - -
FR0013518636 SP EMTN 07/06/2020 09/04/2028 EUR                                           33.62 - -
FR0013518024 SNP EMTN 07/17/2020 06/17/2026 EUR 750 - -
FR0013510104 SP EMTN 05/20/2020 07/24/2028 EUR                                           43.90 - -
FR0013510112 SP EMTN 05/20/2020 07/24/2028 EUR                                           57.48 - -
FR0013480415 SP EMTN 02/12/2020 04/27/2028 EUR                                           17.83 - -
FR0013480407 SP EMTN 02/12/2020 04/27/2028 EUR                                           15.77 - -
FR0013464443 SP EMTN 01/13/2020 03/13/2028 EUR                                           71.52 Notice to the investors -
FR0013461795 AT1 Stand alone 11/20/2019 11/20/2026 EUR 750 - -
FR0013451762 SP EMTN 11/04/2019 01/06/2028 EUR                                           65 - -
FR0013433075 SP EMTN 09/16/2019 11/16/2027 EUR                                           43.19 - -
FR0013433596 SP EMTN 07/12/2019 07/12/2026 EUR 750 - -
FR0013414281 SP EMTN 05/13/2019 07/12/2027 EUR                                         106.43 - -
FR0013415692 SNP EMTN 04/24/2019 04/24/2029 EUR 750 - Green issue
FR0013402054 SP EMTN 03/14/2019 05/18/2027 EUR                                           73.80 - -
FR0013400124 SP EMTN 02/06/2019 02/02/2023 EUR                                         100 - -
FR0013349099 SNP EMTN 07/13/2018 07/13/2028 EUR 750 - -
FR0013330503 SP EMTN 05/09/2018 07/17/2026 EUR                                           55.57 Notice to the investors -
FR0013318631 SP EMTN 03/19/2018 05/20/2026 EUR                                           43 Notice to the investors -
FR0013302247 SP EMTN 02/05/2018 04/08/2026 EUR                                           34.60 Notice to the investors -
FR0013286838 SNP EMTN 10/16/2017 10/16/2024 EUR 500 - -
FR0013181898 T2 EMTN 01/16/2017 06/09/2028 EUR 150 - -
FR0013207354 T2 EMTN 10/05/2016 10/05/2028 EUR 100 - -
FR0013181898 T2 EMTN 06/09/2016 06/09/2028 EUR 500 - -
FR0013054913 T2 EMTN 11/19/2015 11/19/2022 EUR 750 Notice to the investors -
FR0011855865 T2 EMTN 04/23/2014 04/23/2026 EUR 750 Notice to the investors -
FR00140087C4 SNP EMTN (tap) 12/01/2011 02/01/2028 EUR                                              150 - -
FR0013342136 SP EMTN 09/17/2018 11/25/2026 EUR 100 Notice to the investors -