Bonds and final terms

Find here all of our financial issues and associated documents available for download.
ISIN Format Program Date of issue Maturity date Currency

Amount issued (in millions)

Notices Green or social issue
FR001400V0E0 SP Structured notes 02/17/2025 03/29/2033 EUR 300 Notice to the investors -
FR001400TZB4 SP Structured notes 02/12/2025 04/18/2025 EUR 150 Notice to the investors Green issue
FR001400TTB7 SP Structured notes 01/06/2025 03/07/2025 EUR 1,000 - -
FR001400SVJ8 SP Structured notes 11/04/2024 12/27/2032 EUR 350 Notice to the investors Green issue
FR001400SWX7 SNP EMTN 10/01/2024 04/01/2031 EUR 500,00 - -
FR001400RB44 SP Structured notes 09/09/2024 15/11/2032 EUR 300,00 Notice to the investors -
FR001400QXZ4 SP Structured notes 06/20/2024 06/20/2028 EUR 1.10 - -
FR001400PO58 SP Structured notes 06/17/2024 08/16/2034 EUR 750 - -
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 -