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 2012/04/17 2024/04/17 396.833 EUR 4,10% SENIOR .pdf (263.5 kB) FR0011510593 2013/07/19 2023/07/19 252.900 EUR 3,15% SENIOR .pdf (459 kB) FR0011559145 2013/10/18 2023/10/18 592.535 EUR 3,39% SENIOR .pdf (323.8 kB) FR0011623883 2013/12/23 2023/12/23 110.0 EUR 2013/12/27 Zero-coupon - Indexed to the performance of the Euro Stoxx 50® Index SENIOR .pdf (218.2 kB) FR0011625482 2013/12/23 2023/12/23 819.022 EUR 3,15% SENIOR .pdf (481.9 kB) FR0011659358 2014/02/24 2024/02/24 152.0 EUR 2014/02/26 Zero-coupon - Indexed to the performance of the Euro Stoxx 50® Index SENIOR .pdf (401.2 kB) FR0011659366 2014/02/21 2024/02/21 597.359 EUR 3,03% SENIOR .pdf (330.6 kB) FR0011780709 2014/05/09 2024/05/09 146.0 EUR 2014/05/30 Zero-coupon - Indexed to the performance of the Euro Stoxx 50® Index SENIOR .pdf (818.1 kB) FR0011780808 2014/05/07 2024/05/07 497.516 EUR 2,90% SENIOR .pdf (511.4 kB) FR0011885698 2014/06/20 2024/06/20 90,715 EUR 2014/06/24 Annual coupon 1.75% and indexed to the performance of the Euro Stoxx 50® Index SENIOR .pdf (822.3 kB) FR001181258 2014/06/19 2024/06/19 289.395 EUR 2,75% SENIOR .pdf (515.2 kB) FR0012303014 2014/12/22 2024/02/22 59.960 EUR 2015/02/09 Annual coupon 1.20% and indexed to the performance of the Euro Stoxx 50® Index SENIOR .pdf (835.8 kB) FR0012304459 2014/02/22 2024/02/22 642.264 EUR 3,0% TSR .pdf (631.3 kB) FR0012395481 2015/02/02 2025/02/02 82.0 EUR 2015/02/24 Annual coupon 1% and indexed to the performance of the Euro Stoxx 50® Index SENIOR .pdf (837.6 kB) FR0012395689 2015/02/02 2025/02/02 567.468 EUR 3,0% TSR .pdf (653.6 kB) FR0012599884 2015/04/14 2025/04/14 44.5 EUR 2015/04/17 Zero-coupon bonds, indexed to the performance of the Euro Stoxx 50® Index SENIOR .pdf (838.6 kB) FR0012620367 2015/04/14 2025/04/14 528.323 EUR 2,7% TSR .pdf (600.6 kB) FR0012737997 2015/07/15 2025/07/15 95.0 EUR 2015/07/17 Zero-coupon bonds, indexed to the performance of the Euro Stoxx 50® Index SENIOR .pdf (844.6 kB) FR0012737963 2015/07/15 2025/07/15 1,030.862 EUR 2,70% TSR .pdf (644 kB) FR0012892016 2015/10/16 2025/10/16 72.0 EUR 2015/10/20 Zero-coupon bonds, indexed to the performance of the Euro Stoxx 50® Index SENIOR .pdf (765.6 kB) FR0012891992 2015/10/16 2024/10/16 608.640 EUR 2,80% TSR .pdf (447.6 kB) FR0013030137 2015/12/21 2025/12/21 48.0 EUR 2016/01/06 Zero-coupon bonds, indexed to the performance of the Euro Stoxx 50® Index SENIOR .pdf (934.3 kB) FR0013030129 2015/12/21 2025/12/21 623.018 EUR 3,0 % TSR .pdf (760.6 kB) FR0013076346 2016/02/05 2026/02/05 44.0 EUR 2016/02/26 Zero-coupon bonds, indexed to the performance of the Euro Stoxx 50 index ® SENIOR .pdf (1.2 MB) FR0013076353 2016/01/27 2026/01/27 617.981 EUR 2,80% TSR .pdf (865 kB) FR0013133196 2016/04/27 2026/04/27 35.0 EUR 2016/05/10 Zero-coupon bonds, indexed to the performance of the Euro Stoxx 50 index ® SENIOR .pdf (1.2 MB) FR0013134897 2016/04/27 2026/04/27 998.359 EUR 2.85% TSR .pdf (873.6 kB) FR0013166469 2016/07/21 2026/07/21 45.0 EUR 2016/08/10 Zero-coupon bonds, indexed to the performance of the Euro Stoxx 50 index ® SENIOR .pdf (1.3 MB) FR0013166477 2016/07/21 2026/07/21 956.834 EUR 2,80% TSR .pdf (1 MB) FR0013192762 2016/10/24 2026/10/24 682.492 EUR 2,30% TSR .pdf (1 MB) FR0013192903 2016/10/24 2026/10/24 52.0 EUR Zero-coupon bonds, indexed to the performance of the Euro Stoxx 50 index ® SENIOR .pdf (549.9 kB) FR0013217817 2016/12/22 2026/12/22 22.0 EUR Zero-coupon bonds, indexed to the performance of the Euro Stoxx 50 index ® SENIOR .pdf (573 kB) FR0013218849 2016/12/22 2026/12/22 469.453 EUR 2.50% TSR .pdf (544.4 kB) FR0013224714 2017/02/08 2027/02/08 43.0 EUR 2017/02/10 Zero-coupon bonds, indexed to the performance of the Euro Stoxx 50 index ® SENIOR .pdf (662.3 kB) FR0013229259 2017/02/08 2027/02/08 71.264 EUR 1.30% SENIOR .pdf (596.3 kB) FR0013224714- Supplement to the prospectus 2017/01/25 2017/02/08 43.0 EUR 2017/02/10 Zero-coupon bonds, indexed to the performance of the Euro Stoxx 50 index ® SENIOR .pdf (157.4 kB) FR0013229259 - Supplement to the prospectus 2017/01/05 2027/02/08 71.264 EUR 1.30% SENIOR .pdf (156.9 kB) FR0013246626 2017/05/02 2027/05/02 125.175 EUR 2.00% SENIOR NON PREFERED .pdf (1.3 MB) FR0013245560 2017/05/02 2027/05/02 56.291 EUR 1.50% SENIOR .pdf (1.3 MB) FR0013245578 2017/05/02 2027/05/02 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 2017/03/29 2027/05/02 125.175 EUR 2.00% SENIOR NON PREFERED .pdf (220.6 kB) FR0013245560 - Supplement to the prospectus 2017/03/30 2027/05/02 56.291 EUR 1.50% SENIOR .pdf (210.6 kB) FR0013245578 - Supplement to the prospectus 2017/03/30 2027/05/02 17.500 EUR Zero-coupon bonds, indexed to the performance of the Euro Stoxx 50 index ® SENIOR .pdf (210.6 kB) FR0013257185 2017/07/20 2027/07/20 113.940 EUR 1.90% SENIOR NON PREFERRED .pdf (1.1 MB) FR0013257227 2017/07/20 2027/07/20 81.419 EUR 1.40% SENIOR .pdf (1.3 MB) FR0013257094 2017/07/20 2027/07/20 31.0 EUR Zero-coupon bonds, indexed to the performance of the Euro Stoxx 50 index ® SENIOR .pdf (710.8 kB) FR0013279643 2017/10/24 2027/10/24 85.560 EUR 1.75% SENIOR NON PREFERED .pdf (1 MB) FR0013279635 2017/10/24 2027/10/24 77.941,223 EUR 1.25% SENIOR .pdf (1.2 MB) FR0013275641 2017/10/24 2027/10/24 26.000 EUR Zero-coupon bonds, indexed to the performance of the Euro Stoxx 50 index ® SENIOR .pdf (1.3 MB) FR0013293610 2017/12/21 2027/12/21 72.197,481 EUR 1.20% SENIOR .pdf (1.5 MB) FR0013298155 2017/12/21 2027/12/21 94.395 EUR 1.60% SENIOR NON PREFERRED .pdf (1.4 MB) FR0013293784 2017/12/21 2027/12/21 23.000 EUR Zero-coupon bonds, indexed to the performance of the Euro Stoxx 50 index ® SENIOR .pdf (1.7 MB) FR0013308335 2018/02/06 2028/02/06 49.644,673 EUR 1,20% SENIOR .pdf (1.6 MB) FR0013308426 2018/02/06 2028/02/06 45.765 EUR 1.55% SENIOR NON PREFERRED .pdf (1.3 MB) FR0013327426 2018/05/04 2028/05/04 95.558,803 EUR 1.35% SENIOR .pdf (1.1 MB) FR0013327434 2018/05/04 2028/05/04 103.530 EUR 1.80% SENIOR NON PREFERED .pdf (1.1 MB) FR0013336245 95.040 EUR 1.90% SENIOR NON PREFERRED .pdf (1.3 MB) FR0013336237 2018/07/26 2028/07/26 84.909,217 EUR 1.40% SENIOR .pdf (1.4 MB) FR0013357407 2018/10/30 2028/10/30 77.726,130 EUR 1.40% SENIOR .pdf (641.8 kB) FR0013357399 2018/10/30 2028/10/30 105.285 EUR 2.05% SENIOR NON PREFERRED .pdf (740 kB) FR0013382744 2018/12/20 2028/12/20 66.990,000 EUR 2.10% SENIOR NON PREFERRED .pdf (746.5 kB) FR0013383015 2018/12/20 2028/12/20 42.055,249 EUR 1.50% SENIOR .pdf (649.3 kB) FR0013396652 2019/02/06 2029/02/06 48.388,801 EUR 1.65% SENIOR .pdf (1.8 MB) FR0013396645 2019/02/06 2029/02/06 96.390 EUR 2.35% SENIOR NON PREFERRED .pdf (1.4 MB) FR0013413341 2019/05/07 2029/05/07 76.172,327 EUR 1.15% SENIOR .pdf (754.3 kB) FR0013413960 2019/05/07 2029/05/07 131.175 EUR 1.70% SENIOR NON PREFERRED .pdf (710.9 kB) FR0013423753 2019/07/26 2019/07/26 24.418 378 EUR 1;0% SENIOR PREFERRED .pdf (1.4 MB) FR0013423761 2019/07/26 2029/07/26 86.355 EUR 1.50% SENIOR NON PREFERRED .pdf (1.2 MB) FR0013423761 - Supplement to the prospectus 2019/07/02 2029/07/26 86.355 EUR 1.50% SENIOR NON PREFERRED .pdf (82.8 kB) FR0013463460 2019/12/27 2029/12/27 27.945 EUR 1.25% TSR .pdf (1.4 MB) FR0013463460 - Supplement to the Prospectus 2019/12/27 2029/12/27 27,945 EUR 1.25% TSR .pdf (1 MB) FR0013513645 2020/07/28 2030/07/28 302.52 EUR 2.0% TSR .pdf (1.2 MB) FR0013533254 2020/10/27 2030/10/27 161.88 EUR 1.50% TSR .pdf (1.1 MB) FR0014000TE6 2020/12/24 2030/12/24 67.380 EUR 1.15% TSR .pdf (2.2 MB) FR0014000TE6 - Supplement n°1 to the Prospectus 2020/12/24 2030/12/24 67.38 EUR 1.15% TSR .pdf (801.1 kB) FR0014000TE6 - Supplement n°2 to the Prospectus 2020/12/24 2030/12/24 67.38 EUR 1.15% TSR .pdf (992.7 kB) FR0014003RK1 2021/07/28 2031/07/28 213.15 EUR 1.40% TSR .pdf (1.8 MB) FR1CASAO0028 2022/06/21 2032/06/21 233.354 EUR 2.5% SENIOR .pdf (1.4 MB) FR01CASA0019 2022/11/02 2032/11/02 415.177 EUR 3.20% SENIOR .pdf (1.1 MB) FR01CASA0068 2022/12/23 2032/12/23 257.2 EUR 3.50% SENIOR .pdf (1.4 MB) FRCASA010050 2023/02/01 2033/02/01 Will be communicated later EUR 3.70% SENIOR .pdf (1.2 MB) FRCASA010092 2023/04/28 2033/04/28 900 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 2023/05/25 2031/08/01 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 2023/06/05 2029/11/07 150 000 000 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 2023/06/05 2031/11/07 200 000 000 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 2023/06/05 2029/11/07 200 000 000 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 2023/06/15 2028/10/02 500 000 000 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 2023/10/26 2028/10/26 Between 50 and 300 EUR 3.90% p.a. payable annually every 26 October SENIOR PREFERRED .pdf (913.2 kB) FRCASA010217 2023/10/31 2033/10/31 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 2019/12/26 2029/12/26 27.945 EUR 1.25% TSR .pdf (328.6 kB) FR0013513645 2020/07/27 2030/07/27 302.520 EUR 2.0% TSR .pdf (313.2 kB) FR0013533254 2020/10/26 2030/10/26 161.88 EUR 1.50% TSR .pdf (312.8 kB) FR0014000TE6 2020/12/21 2030/12/31 67.38 EUR 1.15% TSR .pdf (316.7 kB) FR0014003RK1 2021/05/26 2021/05/26 213.250 EUR 1.40% TSR .pdf (1.4 MB) FR1CASA00028 2022/06/21 2032/06/21 233.354 EUR 2.5% SENIOR .pdf (336.5 kB) FR01CASA0019 2022/11/02 2032/11/02 Will be determined later EUR 3.20% SENIOR .pdf (337.9 kB) FR01CASA0068 2022/12/23 2032/12/23 257.2 EUR 3.50% SENIOR .pdf (413.6 kB) FRCASA010050 2023/02/01 2033/02/01 Will be communicated later EUR 3.70% SENIOR .pdf (410.5 kB) FRCASA010092 2023/04/28 2033/04/28 900 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 2023/05/25 2031/08/01 1 100 000 000 EUR 3.527% p.a. paid only once on the Maturity Date SENIOR PREFERRED .pdf (1.1 MB) FRCASA010142 2023/07/27 2033/07/27 900 000 000 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 2023/10/31 2033/10/31 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)