DEBT FINANCING – February 11, 2020

Tuesday, February 11, 2020
EUR 1,250 million Issue – FR0013482825

Final Terms for the EUR 1,250 million 0.00% bond maturing February 11th, 2026
2019 Base Prospectus with Supplements

Issue Date Tuesday, February 11, 2020
Maturity Wednesday, February 11, 2026
Currency EUR
Issued Amount (in millions) 1,250
Coupon 0.00%
ISIN Code FR0013482825
Listing Market Luxembourg
Moody's / S&P Rating A1/A+