Debt issuances

ISIN NUMBERCOUPONCOUPON PAYMENT DAYSCHEDULED REDEMPTION DATENOTIONAL / NOMINAL VALUE
 XS17169277662.124%May 14thPerpetual€ 500 M
ES02050320241.375%March 31st31/03/2025€ 500 M
ES02050320160.375%September 14th14/09/2022€ 500 M
ES02050320082,50%July 1515/07/2024€300m
XS09402849373,375%June 0707/06/2021€500m