Crédit Agricole S.A. - Customer issuances
Crédit Agricole S.A. issuances senior and subordinated bonds in its retail networks.
All the documents are only in French.
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Prospectus of issues
ISIN code Issue date Maturity Amount of issue (in millions) Currency Date Call Remuneration Subordination FR0011215938 396.833 EUR 4,10% SENIOR .pdf (263.5 kB) FR0011510593 252.900 EUR 3,15% SENIOR .pdf (459 kB) FR0011559145 592.535 EUR 3,39% SENIOR .pdf (323.8 kB) FR0011623883 110.0 EUR Zero-coupon - Indexed to the performance of the Euro Stoxx 50® Index SENIOR .pdf (218.2 kB) FR0011625482 819.022 EUR 3,15% SENIOR .pdf (481.9 kB) FR0011659358 152.0 EUR Zero-coupon - Indexed to the performance of the Euro Stoxx 50® Index SENIOR .pdf (401.2 kB) FR0011659366 597.359 EUR 3,03% SENIOR .pdf (330.6 kB) FR0011780709 146.0 EUR Zero-coupon - Indexed to the performance of the Euro Stoxx 50® Index SENIOR .pdf (818.1 kB) FR0011780808 497.516 EUR 2,90% SENIOR .pdf (511.4 kB) FR0011885698 90.715 EUR 2,90% SENIOR .pdf (822.3 kB) FR001181258 289.395 EUR 2,75% SENIOR .pdf (515.2 kB) FR0012303014 59.960 EUR Annual coupon 1.20% and indexed to the performance of the Euro Stoxx 50® Index SENIOR .pdf (835.8 kB) FR0012304459 642.264 EUR 3,0% TSR .pdf (631.3 kB) FR0012395481 82.0 EUR Annual coupon 1% and indexed to the performance of the Euro Stoxx 50® Index SENIOR .pdf (837.6 kB) FR0012395689 567.468 EUR 3,0% TSR .pdf (653.6 kB) FR0012599884 44.5 EUR Zero-coupon bonds, indexed to the performance of the Euro Stoxx 50® Index SENIOR .pdf (838.6 kB) FR0012620367 528.323 EUR 2,7% TSR .pdf (600.6 kB) FR0012737997 95.0 EUR Zero-coupon bonds, indexed to the performance of the Euro Stoxx 50® Index SENIOR .pdf (844.6 kB) FR0012737963 1,030.862 EUR 2,70% TSR .pdf (644 kB) FR0012892016 72.0 EUR Zero-coupon bonds, indexed to the performance of the Euro Stoxx 50® Index SENIOR .pdf (765.6 kB) FR0012891992 608.640 EUR 2,80% TSR .pdf (447.6 kB) FR0013030137 48.0 EUR Zero-coupon bonds, indexed to the performance of the Euro Stoxx 50® Index SENIOR .pdf (934.3 kB) FR0013030129 623.018 EUR 3,0 % TSR .pdf (760.6 kB) FR0013076346 44.0 EUR Zero-coupon bonds, indexed to the performance of the Euro Stoxx 50 index ® SENIOR .pdf (1.2 MB) FR0013076353 617.981 EUR 2,80% TSR .pdf (865 kB) FR0013133196 35.0 EUR Zero-coupon bonds, indexed to the performance of the Euro Stoxx 50 index ® SENIOR .pdf (1.2 MB) FR0013134897 998.359 EUR 2.85% TSR .pdf (873.6 kB) FR0013166469 45.0 EUR Zero-coupon bonds, indexed to the performance of the Euro Stoxx 50 index ® SENIOR .pdf (1.3 MB) FR0013166477 956.834 EUR 2,80% TSR .pdf (1 MB) FR0013192762 682.492 EUR 2,30% TSR .pdf (1 MB) FR0013192903 52.0 EUR Zero-coupon bonds, indexed to the performance of the Euro Stoxx 50 index ® SENIOR .pdf (549.9 kB) FR0013217817 22.0 EUR Zero-coupon bonds, indexed to the performance of the Euro Stoxx 50 index ® SENIOR .pdf (573 kB) FR0013218849 469.453 EUR 2.50% TSR .pdf (544.4 kB) FR0013224714 43.0 EUR Zero-coupon bonds, indexed to the performance of the Euro Stoxx 50 index ® SENIOR .pdf (662.3 kB) FR0013229259 71.264 EUR 1.30% SENIOR .pdf (596.3 kB) FR0013224714- Supplement to the prospectus 43.0 EUR Zero-coupon bonds, indexed to the performance of the Euro Stoxx 50 index ® SENIOR .pdf (157.4 kB) FR0013229259 - Supplement to the prospectus 71.264 EUR 1.30% SENIOR .pdf (156.9 kB) FR0013246626 125.175 EUR 2.00% SENIOR NON PREFERED .pdf (1.3 MB) FR0013245560 56.291 EUR 1.50% SENIOR .pdf (1.3 MB) FR0013245578 17.500 EUR Zero-coupon bonds, indexed to the performance of the Euro Stoxx 50 index ® SENIOR .pdf (1.4 MB) FR0013246626 - Supplement to the prospectus 125.175 EUR 2.00% SENIOR NON PREFERED .pdf (220.6 kB) FR0013245560 - Supplement to the prospectus 56.291 EUR 1.50% SENIOR .pdf (210.6 kB) FR0013245578 - Supplement to the prospectus 17.500 EUR Zero-coupon bonds, indexed to the performance of the Euro Stoxx 50 index ® SENIOR .pdf (210.6 kB) FR0013257185 113.940 EUR 1.90% SENIOR NON PREFERRED .pdf (1.1 MB) FR0013257227 81.419 EUR 1.40% SENIOR .pdf (1.3 MB) FR0013257094 31.0 EUR Zero-coupon bonds, indexed to the performance of the Euro Stoxx 50 index ® SENIOR .pdf (710.8 kB) FR0013279643 85.560 EUR 1.75% SENIOR NON PREFERED .pdf (1 MB) FR0013279635 77.941,223 EUR 1.25% SENIOR .pdf (1.2 MB) FR0013275641 26.000 EUR Zero-coupon bonds, indexed to the performance of the Euro Stoxx 50 index ® SENIOR .pdf (1.3 MB) FR0013293610 72.197,481 EUR 1.20% SENIOR .pdf (1.5 MB) FR0013298155 94.395 EUR 1.60% SENIOR NON PREFERRED .pdf (1.4 MB) FR0013293784 23.000 EUR Zero-coupon bonds, indexed to the performance of the Euro Stoxx 50 index ® SENIOR .pdf (1.7 MB) FR0013308335 49.644,673 EUR 1,20% SENIOR .pdf (1.6 MB) FR0013308426 45.765 EUR 1.55% SENIOR NON PREFERRED .pdf (1.3 MB) FR0013327426 95.558,803 EUR 1.35% SENIOR .pdf (1.1 MB) FR0013327434 103.530 EUR 1.80% SENIOR NON PREFERED .pdf (1.1 MB) FR0013336245 95.040 EUR 1.90% SENIOR NON PREFERRED .pdf (1.3 MB) FR0013336237 84.909,217 EUR 1.40% SENIOR .pdf (1.4 MB) FR0013357407 77.726,130 EUR 1.40% SENIOR .pdf (641.8 kB) FR0013357399 105.285 EUR 2.05% SENIOR NON PREFERRED .pdf (740 kB) FR0013382744 66.990,000 EUR 2.10% SENIOR NON PREFERRED .pdf (746.5 kB) FR0013383015 42.055,249 EUR 1.50% SENIOR .pdf (649.3 kB) FR0013396652 48.388,801 EUR 1.65% SENIOR .pdf (1.8 MB) FR0013396645 96.390 EUR 2.35% SENIOR NON PREFERRED .pdf (1.4 MB) FR0013413341 76.172,327 EUR 1.15% SENIOR .pdf (754.3 kB) FR0013413960 131.175 EUR 1.70% SENIOR NON PREFERRED .pdf (710.9 kB) FR0013423753 24.418 378 EUR 1;0% SENIOR PREFERRED .pdf (1.4 MB) FR0013423761 86.355 EUR 1.50% SENIOR NON PREFERRED .pdf (1.2 MB) FR0013423761 - Supplement to the prospectus 86.355 EUR 1.50% SENIOR NON PREFERRED .pdf (82.8 kB) FR0013463460 27.945 EUR 1.25% TSR .pdf (1.4 MB) FR0013463460 - Supplement to the Prospectus 27,945 EUR 1.25% TSR .pdf (1 MB) FR0013513645 302.52 EUR 2.0% TSR .pdf (1.2 MB) FR0013533254 161.88 EUR 1.50% TSR .pdf (1.1 MB) FR0014000TE6 67.380 EUR 1.15% TSR .pdf (2.2 MB) FR0014000TE6 - Supplement n°1 to the Prospectus 67.38 EUR 1.15% TSR .pdf (801.1 kB) FR0014000TE6 - Supplement n°2 to the Prospectus 67.38 EUR 1.15% TSR .pdf (992.7 kB) FR0014003RK1 213.15 EUR 1.40% TSR .pdf (1.8 MB) FR1CASAO0028 233.354 EUR 2.5% SENIOR .pdf (1.4 MB) FR01CASA0019 415.177 EUR 3.20% SENIOR .pdf (1.1 MB) FR01CASA0068 257.2 EUR 3.50% SENIOR .pdf (1.4 MB) FRCASA010050 Will be communicated later EUR 3.70% SENIOR .pdf (1.2 MB) FRCASA010092 900 EUR 3.70% per annum, payable quarterly every 28 January, 28 April, 28 July and 28 October of each year SENIOR PREFERRED .pdf (1.4 MB) FRCASA010134 1 100 000 000 EUR 3.527% p.a. paid only once on the Maturity Date SENIOR PREFERRED .pdf (1.1 MB) FRCASA010142 900 000 000 EUR 3.75% p.a. payable quarterly every 27 January, 27 April, 27 July and 27 October of each year SENIOR PREFERRED .pdf (1.2 MB) FRCASA010126 150 000 000 EUR Automatic call if the performance of the Index is greater than or equal to 100% of its observed value on the respective observation dates, 24/10/2024, 24/10/2025, 26/10/2026, 25/10/2027 and 24/10/2028 Based on the performance of the MSCI FRANCE CLIMATE SELECT 40 PARIS ALIGNED 3.75% DECREMENT INDEX (NET) Index SENIOR PREFERRED .pdf (1.6 MB) FRCASA010100 200 000 000 EUR Automatic call if the performance of the Index is greater than or equal to 100% of its observed value at any Early Redemption Observation Date Based on the performance of the MSCI FRANCE SELECT ESG Index 30 5% DECREMENT (NET) EUR SENIOR PREFERRED .pdf (1.8 MB) FRCASA010118 200 000 000 EUR Automatic call if the performance of the Index is greater than or equal to 100% of its observed value at any Early Redemption Observation Date Based on the performance of the MSCI FRANCE SELECT ESG 30 3.75% DECREMENT (NET) EUR SENIOR PREFERRED .pdf (1.6 MB) FRCASA010159 500 000 000 EUR Automatic call if the performance of the Index is greater than or equal to 100% of its observed value at any Early Redemption Observation Date Based on the performance of the EURO STOXX 50 ESG PRICE EUR Index SENIOR PREFERRED .pdf (1.8 MB) FRCASA010209 Between 50 and 300 EUR 3.90% p.a. payable annually every 26 October SENIOR PREFERRED .pdf (913.2 kB) FRCASA010217 Between 50 and 600 EUR 4.00% p.a. payable quarterly every 31 January, 30 April, 31 July and 31 October of each year SENIOR PREFERRED .pdf (958.9 kB)
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Summary of prospectus of issues
ISIN Code Issue Date Maturity Amount of issue (in millions) Currency Date call Remuneration Subordination FR0013463460 27.945 EUR 1.25% TSR .pdf (328.6 kB) FR0013513645 302.520 EUR 2.0% TSR .pdf (313.2 kB) FR0013533254 161.88 EUR 1.50% TSR .pdf (312.8 kB) FR0014000TE6 67.38 EUR 1.15% TSR .pdf (316.7 kB) FR0014003RK1 213.250 EUR 1.40% TSR .pdf (1.4 MB) FR1CASA00028 233.354 EUR 2.5% SENIOR .pdf (336.5 kB) FR01CASA0019 Will be determined later EUR 3.20% SENIOR .pdf (337.9 kB) FR01CASA0068 257.2 EUR 3.50% SENIOR .pdf (413.6 kB) FRCASA010050 Will be communicated later EUR 3.70% SENIOR .pdf (410.5 kB) FRCASA010092 900 EUR 3.70% per annum, payable quarterly every 28 January, 28 April, 28 July and 28 October of each year SENIOR PREFERRED .pdf (826.8 kB) FRCASA010134 1 100 000 000 EUR 3.527% p.a. paid only once on the Maturity Date SENIOR PREFERRED .pdf (1.1 MB) FRCASA010142 900 000 000 EUR 3.75% p.a. payable quarterly every 27 January, 27 April, 27 July and 27 October of each year SENIOR PREFERRED .pdf (319.6 kB) FRCASA010209 Between 50 and 300 EUR 3.90% p.a. payable annually every 26 October SENIOR PREFERRED .pdf (408.3 kB) FRCASA010217 Between 50 and 600 EUR 4.00% p.a. payable quarterly every 31 January, 30 April, 31 July and 31 October of each year SENIOR PREFERRED .pdf (426.9 kB)