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Bondholders

General meetings of Bondholders, March 18th

Download the following documents:

All the resolutions submitted to the bondholders were duly adopted on first call.

Relative documents: project of partial transfers of assets

Convertible bonds

OCEANEs 2022

  • Type of bond: Bonds Convertible into new Shares and/or Exchangeable for existing shares (OCEANE)
  • Issue date: 26 June 2015
  • Maturity: 7 years
  • Maturity date: 26 June 2022
  • Amount: 500 million euros
  • Rate: 0% (the bonds do not bear interest)
  • Conversion premium: 55%
  • Conversion/exchange ratio: 1 share per bond, increased to 1.002 shares per bond as of May 6th, 2016
  • Listing: Open Market (Marché Libre) Euronext Paris
  • ISIN Code: FR0012817542
  • May 13th,2016 | Change in OCEANE conversion/exchange ratio maturity date of June 26, 2022

Find out more

Straight bonds

Eurobond 2021
  • Type of bond : Fixed rate Eurobond
  • Issue date: 20 May 2014
  • Maturity: 7 years
  • Maturity date: 20 May 2021
  • Amount: 450 millions of euros
  • Rate: 2.50% per annum
  • Listing: Euronext Paris
  • ISIN Code: FR0011912872

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