Résultats

115 résultats trouvés pour « per cent »

resultats annuels 2019 comptes consolides 20200214

COMPTES CONSOLIDÉS AU 31 DÉCEMBRE 2019 Compte de résultat consolidé (en millions d' euros) Chiffre d' affaires Achats de combustible et d' énergie Autres consommations externes Charges de personnel Impôts et taxes Autres produits et charges opérationnels Excédent brut d' exploitation Variations...

Final terms of the bond issue - 28 September 2018

Final Terms dated 28 September 2018 Électricité de France Issue of EUR 1 000 000 000 2 00 per cent... Électricité de France 35 1 Euro ("EUR") EUR 1 000 000 000 EUR 1 000 000 000 EUR 1 000 000 000 98 014 per cent. of the Aggregate Nominal Amount EUR 100 000 (the" Nominal Amount") AmountAmount 2 October 2018 Issue Date 2 October 2030 2 00 per cent.

The final terms of the October 2016 Green Bond issue

Execution version Final Terms dated 11 October 2016 Électricité de France Issue of EUR 1 750 000 000 1 00 per cent. fixed rate Notes due 13 October 2026 under the 45 000 000 000 Euro Medium Term Note Programme of Électricité de France SERIES NO... Tranche: Euro" (EUR") 4. EUR 1 750 000 000 EUR 1 750 000 000 EUR 1 750 000 000 99 858 per cent of the Aggregate Nominal Amount EUR 100 000 (the" Nominal Amount") 5. Issue Price: 6. Specified Denominations: (Condition 1 (b)) 7. (i() ii) Issue Date.

Final Terms of the EDF's retail bond issue at May 27, 2009

Final Terms dated 27 May 2009 Electricité de France Issue of 4 5 per cent... 100 per cent. of the Aggregate Nominal Amount EUR 1 000 (ii) Tranche... Interest Commencement Date: 17 July 2009 Issue Date 17 July 2014 4 5 1per cent. per annum... Applicable 4 5 per cent. per annum payable annually in arrear in each year commencing on 17 July 2010 17 July in each year.

EMTN n° 33

Execution version Final Terms dated 11 October 2016 Électricité de France Issue of EUR 750 000 000 1 875 per cent. fixed rate Notes due 13 October 2036 under the 45 000 000 000 Euro Medium Term Note Programme of Électricité de France SERIES NO... Euro" (EUR") EUR 750 000 000 EUR 750 000 000 EUR 750 000 000 98 166 per cent of the Aggregate Nominal Amount EUR 100 000 (the" Nominal Amount") 5. Issue Price: 6. Specified Denominations.

EMTN n°27

Final Terms dated 25 September 2015 Electricité de France Issue of U S $ 1 500 000 000 4 75 per cent. fixed rate Notes due 6 October 2045 under the 45 000 000 000 Euro Medium Term Note Programme of Electricité de France SERIES NO... United States dollars" (U S $") 4. 5. U S $ 1 500 000 000 100 00 per cent. of the Aggregate Nominal Amount U S $ 200 000 (the" Nominal Amount") 6 October 2015 Issue Date 6. 7. Specified Denominations: (i() ii) Issue Date.

EMTN n°28

Final Terms dated 6 October 2016 Electricité de France Issue of U S $ 491 000 000 4 65 per cent. fixed rate Notes due 21 October 2046 under the 45 000 000 000 Euro Medium Term Note Programme of Electricité de France SERIES NO... U S $ 491 000 000 100 per cent. of the Aggregate Nominal Amount U S $ 200 000 (the" Nominal Amount") 21 October 2016 Issue Date 6. 7. Specified Denominations: (i() ii) Issue Date.

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