Debt financing — May 2, 2013
Thursday, May 2, 2013
EUR 600 million Issue — FR0011485051
> Final terms for the EUR 500 million 1.25% bond maturing on November 4th, 2019
> Tranche Prospectus for the EUR 100 million TAP dated on October 10th, 2014
> 2012 Base Prospectus with Supplements
Issue Date | Thursday, May 2, 2013 |
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Maturity | Monday, November 4, 2019 |
Currency | EUR |
Issued Amount (in millions) | 600 |
Coupon | 1.25% |
ISIN Code | FR0011485051 |
Listing Market | Luxembourg |
S&P Rating | A+ |