FR0010806737


ISIN code fr0010806737_prospectus.pdf FR0010806737 (429.89 ko)
Amount of issue 526,825,000.00 EUR
Settlement date 30/10/2009
Term 8 years
Date of repayment 30/10/2017
Issue price 100.383%
Yield Annual payable quarterly
Nominal rate of interest 3.90%
Repayment of capital Reimbursement at maturity of 100% of the face value
Visa Prospectus obtained n°09-278 AMF visa on 29/09/2009
Listing Euronext Paris
Financial notice fr0010806737_avisfinancier.pdf September 2009 (55.46 ko)
Press release