Debt issuances

ISIN NUMBER COUPON COUPON PAYMENT DAY SCHEDULED REDEMPTION DATE NOTIONAL / NOMINAL VALUE
 XS1716927766 2.124% May 14th Perpetual € 500 M
ES0205032024 1.375% March 31st 31/03/2025 € 500 M
ES0205032016 0.375% September 14th 14/09/2022 € 500 M
ES0205032008 2,50% July 15 15/07/2024 €300m
XS0879082914 3,375% January 30 30/01/2018 €500m
XS0940284937 3,375% June 07 07/06/2021 €500m