Institutional bond issues

2024

Press Release

Press Release

Press Release Remediation BPCE Manifest error 1 March 2024

DOCUMENT PDF

Download 70 Ko

Final Terms for the issue of senior non-preferred notes under BPCE EMTN program

Click on ISIN code link to access Prospectus or visit AMF website. Issuer: BPCE

ISIN CODE 
FR001400OIX5
SERIES 
2024-21
SETTLEMENT DATE 
08/03/2024
ISIN CODE 
FR001400N4L7
SERIES 
2024-01
SETTLEMENT DATE 
11/01/2024
ISIN CODE 
FR001400N4M5
SERIES 
2024-02
SETTLEMENT DATE 
11/01/2024

Final Terms for the issue of senior preferred notes under BPCE EMTN program

Click on ISIN code link to access Prospectus or visit AMF website Issuer:BPCE

ISIN CODE 
FR001400OGI0
SERIES 
2024-17 tranche 2
SETTLEMENT DATE 
14/03/2024
ISIN CODE 
FR001400OIY3
SERIES 
2024-20
SETTLEMENT DATE 
11/03/2024
ISIN CODE 
FR001400OHE7
SERIES 
2024-18
SETTLEMENT DATE 
08/03/2024
ISIN CODE 
FR001400OGI0
SERIES 
2024-17
SETTLEMENT DATE 
06/03/2024
ISIN CODE 
FR001400OEO3
SERIES 
2024-16
SETTLEMENT DATE 
01/03/2024
ISIN CODE 
FR001400OBT8
SERIES 
2024-14
SETTLEMENT DATE 
01/03/2024
ISIN CODE 
FR001400O4Y9
SERIES 
2024-12
SETTLEMENT DATE 
23/02/2024
ISIN CODE 
FR001400NHH2
SERIES 
2024-10
SETTLEMENT DATE 
30/01/2024
ISIN CODE 
FR001400NDS8
SERIES 
2024-09
SETTLEMENT DATE 
25/01/2024
ISIN CODE 
FR001400NDV2
SERIES 
2024-07
SETTLEMENT DATE 
25/01/2024
ISIN CODE 
FR001400N8O2
SERIES 
2024-04
SETTLEMENT DATE 
22/01/2024
ISIN CODE 
FR001400N5E9
SERIES 
2024-03
SETTLEMENT DATE 
15/01/2024

Final Terms for the issue of subordinated notes under BPCE EMTN program

ISIN CODE 
FR001400OEH7
SERIES 
2024-19
SETTLEMENT DATE 
08/03/2024
ISIN CODE 
FR001400O671
SERIES 
2024-13
SETTLEMENT DATE 
26/02/2024

2023

Press Release

Press Release

Press Release Remediation BPCE 3 November 2023

DOCUMENT PDF

Download 64 Ko

Press Release Remediation BPCE 25 September 2023

DOCUMENT PDF

Download 67 Ko

Press Release Remediation BPCE 18 July 2023

DOCUMENT PDF

Download 271 Ko

Final Terms for the issue of senior preferred notes under BPCE EMTN program

Click on ISIN code link to access Prospectus or visit AMF website Issuer:BPCE

ISIN CODE 
FR001400MWP6
SERIES 
2023-69
SETTLEMENT DATE 
27/12/2023
ISIN CODE 
FR001400MMO0
SERIES 
2023-66
SETTLEMENT DATE 
14/12/2023
ISIN CODE 
FR001400MNP5
SERIES 
2023-67
SETTLEMENT DATE 
13/12/2023
ISIN CODE 
FR001400ML54
SERIES 
2023-65
SETTLEMENT DATE 
12/12/2023
ISIN CODE 
FR001400MJS7
SERIES 
2023-63
SETTLEMENT DATE 
08/12/2023
ISIN CODE 
FR001400LIH4
SERIES 
2023-61
SETTLEMENT DATE 
24/10/2023
ISIN CODE 
FR001400LHC7
SERIES 
2023-60
SETTLEMENT DATE 
24/10/2023
ISIN CODE 
FR001400LGP1 (Temporary ISIN) and FR001400JA60 after 40 days
SERIES 
2023-47 Tranche 3
SETTLEMENT DATE 
18/10/2023
ISIN CODE 
FR001400KVG1
SERIES 
2023-57
SETTLEMENT DATE 
26/09/2023
ISIN CODE 
FR001400KUT6
SERIES 
2023-56
SETTLEMENT DATE 
25/09/2023
ISIN CODE 
FR001400KNT1
SERIES 
2023-55
SETTLEMENT DATE 
15/09/2023
ISIN CODE 
FR001400KML0 (Temporary ISIN) and FR001400JA60 after 40 days
SERIES 
2023-47 Tranche 2
SETTLEMENT DATE 
14/09/2023
ISIN CODE 
FR001400KJ19
SERIES 
2023-51
SETTLEMENT DATE 
06/09/2023
ISIN CODE 
FR001400KDV8
SERIES 
2023-50
SETTLEMENT DATE 
25/08/2023
ISIN CODE 
FR001400JCP4
SERIES 
2023-48
SETTLEMENT DATE 
21/07/2023
ISIN CODE 
FR001400JA60
SERIES 
2023-47
SETTLEMENT DATE 
18/07/2023
ISIN CODE 
FR001400J820
SERIES 
2023-44
SETTLEMENT DATE 
17/07/2023
ISIN CODE 
FR001400J2V6
SERIES 
2023-43
SETTLEMENT DATE 
10/07/2023
ISIN CODE 
FR001400ITS4
SERIES 
2023-42
SETTLEMENT DATE 
23/06/2023
ISIN CODE 
FR001400IKQ7
SERIES 
2023-39
SETTLEMENT DATE 
16/06/2023
ISIN CODE 
FR001400IFE3
SERIES 
2023-37
SETTLEMENT DATE 
09/06/2023
ISIN CODE 
FR001400IA20
SERIES 
2023-35
SETTLEMENT DATE 
02/06/2023
ISIN CODE 
FR001400I1K2
SERIES 
2023-29
SETTLEMENT DATE 
25/05/2023
ISIN CODE 
FR001400HKL0
SERIES 
2023-27
SETTLEMENT DATE 
28/04/2023
ISIN CODE 
FR001400HKB1
SERIES 
2023-26
SETTLEMENT DATE 
27/04/2023
ISIN CODE 
FR001400HJY5
SERIES 
2023-25
SETTLEMENT DATE 
26/04/2023
ISIN CODE 
FR001400HI31
SERIES 
2023-24
SETTLEMENT DATE 
24/04/2023
ISIN CODE 
FR001400HEC2
SERIES 
2023-23
SETTLEMENT DATE 
20/04/2023
ISIN CODE 
FR001400HAC0
SERIES 
2023-22
SETTLEMENT DATE 
17/04/2023
ISIN CODE 
FR001400H030
SERIES 
2023-21
SETTLEMENT DATE 
03/04/2023
ISIN CODE 
FR001400GII2
SERIES 
2023-18
SETTLEMENT DATE 
15/03/2023
ISIN CODE 
FR001400GFX7
SERIES 
2023-17
SETTLEMENT DATE 
13/03/2023
ISIN CODE 
FR001400GEZ5
SERIES 
2023-16
SETTLEMENT DATE 
13/03/2023
ISIN CODE 
FR001400G9P6
SERIES 
2023-15
SETTLEMENT DATE 
06/03/2023
ISIN CODE 
FR001400G4L6
SERIES 
2023-12
SETTLEMENT DATE 
01/03/2023
ISIN CODE 
FR001400G2E5
SERIES 
2023-11
SETTLEMENT DATE 
24/02/2023
ISIN CODE 
FR001400G123
SERIES 
2023-10
SETTLEMENT DATE 
24/02/2023
ISIN CODE 
FR001400FJL6
SERIES 
2023-08
SETTLEMENT DATE 
03/02/2023
ISIN CODE 
FR001400F7G0
SERIES 
2023-03 Tranche 2
SETTLEMENT DATE 
26/01/2023
ISIN CODE 
FR001400FB06
SERIES 
2023-05
SETTLEMENT DATE 
25/01/2023
ISIN CODE 
FR001400F9E1
SERIES 
2023-04
SETTLEMENT DATE 
20/01/2023
ISIN CODE 
FR001400F7G0
SERIES 
2023-03
SETTLEMENT DATE 
19/01/2023

Final Terms des émissions deFinal Terms for the issue of senior non-preferred notes under BPCE EMTN program titres senior non préférés du programme EMTN de BPCE

Click on ISIN code link to access Prospectus or visit AMF website. Issuer: BPCE

ISIN CODE 
FR001400IJ13
SERIES 
2023-38
SETTLEMENT DATE 
14/06/2023
ISIN CODE 
FR001400I3N2
SERIES 
2023-31
SETTLEMENT DATE 
24/05/2023
ISIN CODE 
FR001400G6Y4
SERIES 
2023-14
SETTLEMENT DATE 
02/03/2023
ISIN CODE 
FR001400F083
SERIES 
2023-02
SETTLEMENT DATE 
13/01/2023
ISIN CODE 
FR001400F075
SERIES 
2023-01
SETTLEMENT DATE 
13/01/2023

Final Terms for the issue of subordinated notes under BPCE EMTN program

ISIN CODE 
FR001400I7P8
SERIES 
2023-34
SETTLEMENT DATE 
01/06/2023
ISIN CODE 
Notice aux porteurs ERRATUM indicative yield
SERIES 
2023-34
SETTLEMENT DATE 
01/06/2023
ISIN CODE 
FR001400FB22
SERIES 
2023-06
SETTLEMENT DATE 
25/01/2023

2022

Final Terms for the issue of senior preferred notes under BPCE EMTN

ProgramClick on ISIN code link to access Prospectus or visit AMF website Issuer:BPCE

ISIN CODE 
FR001400EIS6
SERIES 
2022-40
SETTLEMENT DATE 
13/12/2022
ISIN CODE 
FR001400EHJ7
SERIES 
2022-39
SETTLEMENT DATE 
12/12/2022
ISIN CODE 
FR001400E9V6
SERIES 
2022-38
SETTLEMENT DATE 
30/11/2022
ISIN CODE 
FR001400E797
SERIES 
2022-37
SETTLEMENT DATE 
29/11/2022
ISIN CODE 
FR001400CFJ5
SERIES 
2022-33
SETTLEMENT DATE 
26/08/2022
ISIN CODE 
FR001400CD72
SERIES 
2022-31
SETTLEMENT DATE 
18/08/2022
ISIN CODE 
FR001400CBU1
SERIES 
2022-30
SETTLEMENT DATE 
19/08/2022
ISIN CODE 
FR001400CAZ2
SERIES 
2022-29
SETTLEMENT DATE 
19/08/2022
ISIN CODE 
FR001400BRG8
SERIES 
2022-28
SETTLEMENT DATE 
19/07/2022
ISIN CODE 
FR001400BHC8
SERIES 
2022-27
SETTLEMENT DATE 
08/07/2022
ISIN CODE 
FR001400B9R7
SERIES 
2022-26
SETTLEMENT DATE 
29/06/2022
ISIN CODE 
FR001400ASW5
SERIES 
2022-24
SETTLEMENT DATE 
09/06/2022
ISIN CODE 
FR001400ARL0
SERIES 
2022-23
SETTLEMENT DATE 
08/06/2022
ISIN CODE 
FR001400ARH8
SERIES 
2022-22
SETTLEMENT DATE 
06/06/2022
ISIN CODE 
FR0014009YC1
SERIES 
2022-20
SETTLEMENT DATE 
26/04/2022
ISIN CODE 
FR0014009YD9
SERIES 
2022-19
SETTLEMENT DATE 
26/04/2022
ISIN CODE 
FR0014009Y03
SERIES 
2022-18
SETTLEMENT DATE 
26/04/2022
ISIN CODE 
FR0014009DS1
SERIES 
2022-17
SETTLEMENT DATE 
29/03/2022
ISIN CODE 
FR0014008YR1
SERIES 
2022-16
SETTLEMENT DATE 
10/03/2022
ISIN CODE 
FR0014008ST9
SERIES 
2022-15
SETTLEMENT DATE 
04/03/2022
ISIN CODE 
FR0014008SK8
SERIES 
2022-14
SETTLEMENT DATE 
04/03/2022
ISIN CODE 
FR0014008LF3
SERIES 
2022-11
SETTLEMENT DATE 
25/02/2022
ISIN CODE 
FR0014008K34
SERIES 
2022-10
SETTLEMENT DATE 
25/02/2022
ISIN CODE 
FR0014008J29
SERIES 
2022-09
SETTLEMENT DATE 
23/02/2022
ISIN CODE 
FR0014007VF4
SERIES 
2022-07
SETTLEMENT DATE 
02/02/2022
ISIN CODE 
FR0014007U74
SERIES 
2022-06
SETTLEMENT DATE 
26/01/2022
ISIN CODE 
FR0014007MP2
SERIES 
2022-04
SETTLEMENT DATE 
14/01/2022
ISIN CODE 
FR0014007IK1
SERIES 
2022-01
SETTLEMENT DATE 
10/01/2022

Final Terms for the issue of senior non-preferred notes under BPCE EMTN program

Click on ISIN code link to access Prospectus or visit AMF website. Issuer: BPCE

ISIN CODE 
FR001400CVU9
SERIES 
2022-35
SETTLEMENT DATE 
29/09/2022
ISIN CODE 
FR0014008PK4
SERIES 
2022-12
SETTLEMENT DATE 
02/03/2022
ISIN CODE 
FR0014007LM1
SERIES 
2022-03
SETTLEMENT DATE 
14/01/2022
ISIN CODE 
FR0014007LL3
SERIES 
2022-02
SETTLEMENT DATE 
14/01/2022

Final Terms for the issue of subordinated notes under BPCE EMTN program

ISIN CODE 
FR0013063385
SERIES 
Avis aux Porteurs
SETTLEMENT DATE 
31/10/2022
ISIN CODE 
FR0014008PC1
SERIES 
2022-13
SETTLEMENT DATE 
02/03/2022
ISIN CODE 
FR0014007VJ6
SERIES 
2022-08
SETTLEMENT DATE 
02/02/2022

2021

Final Terms for the issue of senior preferred notes under BPCE EMTN program

Click on ISIN code link to access Prospectus or visit AMF website Issuer:BPCE

ISIN CODE 
FR00140077V5
SERIES 
2021-24
SETTLEMENT DATE 
20/12/2021
ISIN CODE 
FR0014007506
SERIES 
2021-23
SETTLEMENT DATE 
14/12/2021
ISIN CODE 
FR0014006ZX0
SERIES 
2021-20
SETTLEMENT DATE 
14/12/2021
ISIN CODE 
FR00140073K7
SERIES 
2021-22
SETTLEMENT DATE 
13/12/2021
ISIN CODE 
FR00140073N1
SERIES 
2021-21
SETTLEMENT DATE 
13/12/2021
ISIN CODE 
FR0014006RP3
SERIES 
2021-18
SETTLEMENT DATE 
30/11/2021
ISIN CODE 
FR0014005TI6
SERIES 
2021-12
SETTLEMENT DATE 
08/10/2021
ISIN CODE 
FR0014002J90
SERIES 
2021-08
SETTLEMENT DATE 
22/03/2021
ISIN CODE 
FR0014002AD4
SERIES 
2021-06
SETTLEMENT DATE 
04/03/2021
ISIN CODE 
FR00140029S2
SERIES 
2021-05
SETTLEMENT DATE 
04/03/2021
ISIN CODE 
FR00140029U8
SERIES 
2021-04
SETTLEMENT DATE 
04/03/2021
ISIN CODE 
FR0014001G37
SERIES 
2021-02
SETTLEMENT DATE 
14/01/2021
ISIN CODE 
FR0014001G29
SERIES 
2021-01
SETTLEMENT DATE 
14/01/2021
ISIN CODE 
FR00140016Z4
SERIES 
2020-55
SETTLEMENT DATE 
04/01/2021

Final Terms for the issue of senior non-preferred notes under BPCE EMTN program

Click on ISIN code link to access Prospectus or visit AMF website. Issuer: BPCE

ISIN CODE 
FR00140027U2
SERIES 
2021-03
SETTLEMENT DATE 
03/03/2021

Final Terms for the issue of subordinated notes under BPCE EMTN program

ISIN CODE 
FR0014006W73
SERIES 
2021-19
SETTLEMENT DATE 
01/12/2021
ISIN CODE 
FR0012018851
SERIES 
Avis aux porteurs
SETTLEMENT DATE 
25/05/2021
ISIN CODE 
FR0013179736
SERIES 
Avis aux porteurs
SETTLEMENT DATE 
03/05/2021
Prospectus for the issue of RAC Tier 2 notes

Prospectus for the issue of RAC Tier 2 notes

Prospectus for the issue of RAC Tier 2 notes (series 2021-13 and 2021-14)

DOCUMENT PDF

Download 2 Mo

2020

Final Terms for the issue of senior preferred notes under BPCE EMTN program

Click on ISIN code link to access Prospectus or visit AMF website Issuer:BPCE

ISIN CODE 
FR0014000VI3
SERIES 
2020-53
SETTLEMENT DATE 
09/12/2020
ISIN CODE 
FR0014000TA4
SERIES 
2020-51
SETTLEMENT DATE 
03/12/2020
ISIN CODE 
FR0014000MW3
SERIES 
2020-50
SETTLEMENT DATE 
19/11/2020
ISIN CODE 
FR0014000BE4
SERIES 
2020-49
SETTLEMENT DATE 
30/10/2020
ISIN CODE 
FR0014000B33
SERIES 
2020-48
SETTLEMENT DATE 
30/10/2020
ISIN CODE 
FR00140009L9
SERIES 
2020-46
SETTLEMENT DATE 
26/10/2020
ISIN CODE 
FR0013537081
SERIES 
2020-43
SETTLEMENT DATE 
09/10/2020
ISIN CODE 
FR00140000Y1
SERIES 
2020-44
SETTLEMENT DATE 
06/10/2020
ISIN CODE 
FR0013536547
SERIES 
2020-41
SETTLEMENT DATE 
28/09/2020
ISIN CODE 
FR0013534492
SERIES 
2020-39
SETTLEMENT DATE 
17/09/2020
ISIN CODE 
FR0013533452
SERIES 
2020-38
SETTLEMENT DATE 
14/09/2020
ISIN CODE 
FR0013533452
SERIES 
2020-38 (RESTRUCTURATION)
SETTLEMENT DATE 
14/09/2020
ISIN CODE 
FR0013530938
SERIES 
2020-35
SETTLEMENT DATE 
31/08/2020
ISIN CODE 
FR0013531688
SERIES 
2020-36
SETTLEMENT DATE 
27/08/2020
ISIN CODE 
FR0013528890
SERIES 
2020-33
SETTLEMENT DATE 
20/08/2020
ISIN CODE 
FR0013526076
SERIES 
2020-29
SETTLEMENT DATE 
28/07/2020
ISIN CODE 
FR0013524840
SERIES 
2020-27
SETTLEMENT DATE 
22/07/2020
ISIN CODE 
FR0013524840
SERIES 
2020-27 (RESTRUCTURATION)
SETTLEMENT DATE 
22/07/2020
ISIN CODE 
FR0013521812
SERIES 
2020-26
SETTLEMENT DATE 
03/07/2020
ISIN CODE 
FR0013519881
SERIES 
2020-25
SETTLEMENT DATE 
24/06/2020
ISIN CODE 
FR0013519881
SERIES 
2020-25 (RESTRUCTURATION)
SETTLEMENT DATE 
24/06/2020
ISIN CODE 
FR0013516093
SERIES 
2020-22
SETTLEMENT DATE 
09/06/2020
ISIN CODE 
FR0013515962
SERIES 
2020-21
SETTLEMENT DATE 
08/06/2020
ISIN CODE 
FR0013515962
SERIES 
2020-21 (RESTRUCTURATION)
SETTLEMENT DATE 
08/06/2020
ISIN CODE 
FR0013515525
SERIES 
2020-20
SETTLEMENT DATE 
04/06/2020
ISIN CODE 
FR0013515525
SERIES 
2020-20 (RESTRUCTURATION)
SETTLEMENT DATE 
04/06/2020
ISIN CODE 
FR0013515301
SERIES 
2020-19
SETTLEMENT DATE 
08/06/2020
ISIN CODE 
FR0013515301
SERIES 
2020-19 (RESTRUCTURATION)
SETTLEMENT DATE 
08/06/2020
ISIN CODE 
FR0013515244
SERIES 
2020-18
SETTLEMENT DATE 
03/06/2020
ISIN CODE 
FR0013515244
SERIES 
2020-18 (RESTRUCTURATION)
SETTLEMENT DATE 
03/06/2020
ISIN CODE 
FR0013515194
SERIES 
2020-17
SETTLEMENT DATE 
03/06/2020
ISIN CODE 
FR0013515186
SERIES 
2020-15
SETTLEMENT DATE 
29/05/2020
ISIN CODE 
FR0013509726
SERIES 
2020-10
SETTLEMENT DATE 
13/03/2020
ISIN CODE 
FR0013494101
SERIES 
2020-10 (RESTRUCTURATION
SETTLEMENT DATE 
13/03/2020
ISIN CODE 
FR0013494101
SERIES 
2020-11
SETTLEMENT DATE 
13/03/2020
ISIN CODE 
FR0013494606
SERIES 
2020-13
SETTLEMENT DATE 
13/03/2020
ISIN CODE 
FR0013494119
SERIES 
2020-12
SETTLEMENT DATE 
12/03/2020
ISIN CODE 
FR0013494077
SERIES 
2020-08
SETTLEMENT DATE 
06/03/2020
ISIN CODE 
FR0013488772
SERIES 
2020-07
SETTLEMENT DATE 
28/02/2020
ISIN CODE 
FR0013487543
SERIES 
2020-06
SETTLEMENT DATE 
27/02/2020
ISIN CODE 
FR0013487030
SERIES 
2020-03
SETTLEMENT DATE 
24/02/2020
ISIN CODE 
FR0013483682
SERIES 
2020-03 (RESTRUCTURATION)
SETTLEMENT DATE 
24/02/2020
ISIN CODE 
FR0013476207
SERIES 
2020-02
SETTLEMENT DATE 
15/01/2020
ISIN CODE 
FR0013476199
SERIES 
2020-01
SETTLEMENT DATE 
15/01/2020

Final Terms for the issue of senior non-preferred notes under BPCE EMTN program

Click on ISIN code link to access Prospectus or visit AMF website. Issuer:BPCE

ISIN CODE 
FR0014000VG7
SERIES 
2020-54
SETTLEMENT DATE 
16/12/2020
ISIN CODE 
FR00140004R7
SERIES 
2020-45
SETTLEMENT DATE 
13/10/2020
ISIN CODE 
FR0013534674
SERIES 
2020-40
SETTLEMENT DATE 
15/09/2020

Final Terms des émissions de titres subordFinal Terms for the issue of subordinated notes under BPCE EMTN programonnés du programme EMTN de BPCE

ISIN CODE 
FR0012799187
SERIES 
Avis aux porteurs
SETTLEMENT DATE 
02/11/2020
ISIN CODE 
FR0012637379
SERIES 
Avis aux porteurs
SETTLEMENT DATE 
14/02/2020

2019

Final Terms for the issue of senior preferred notes under BPCE EMTN program

Click on ISIN code link to access Prospectus or visit AMF website Issuer:BPCE

ISIN CODE 
FR0013469293
SERIES 
2019-58
SETTLEMENT DATE 
23/12/2019
ISIN CODE 
FR0013468345
SERIES 
2019-57
SETTLEMENT DATE 
18/12/2019
ISIN CODE 
FR0013464930
SERIES 
2019-56
SETTLEMENT DATE 
04/12/2019
ISIN CODE 
FR0013454246
SERIES 
2019-49
SETTLEMENT DATE 
21/10/2019
ISIN CODE 
FR0013444940
SERIES 
2019-46
SETTLEMENT DATE 
06/09/2019
ISIN CODE 
FR0013442480
SERIES 
2019-43
SETTLEMENT DATE 
23/08/2019
ISIN CODE 
FR0013442480
SERIES 
2019-43 (RESTRUCTURATION)
SETTLEMENT DATE 
23/08/2019
ISIN CODE 
FR0013426905
SERIES 
2019-36
SETTLEMENT DATE 
24/06/2019
ISIN CODE 
FR0013426897
SERIES 
2019-35
SETTLEMENT DATE 
24/06/2019
ISIN CODE 
FR0013426889
SERIES 
2019-34
SETTLEMENT DATE 
24/06/2019
ISIN CODE 
FR0013413408
SERIES 
2019-28 (notice aux porteurs)
SETTLEMENT DATE 
30/04/2019
ISIN CODE 
FR0013416583
SERIES 
2019-30
SETTLEMENT DATE 
30/04/2019
ISIN CODE 
FR0013414166
SERIES 
2019-29
SETTLEMENT DATE 
15/04/2019
ISIN CODE 
FR0013413408
SERIES 
2019-28
SETTLEMENT DATE 
10/04/2019
ISIN CODE 
FR0013411360
SERIES 
2019-26
SETTLEMENT DATE 
29/03/2019
ISIN CODE 
FR0013410222
SERIES 
2019-25
SETTLEMENT DATE 
25/03/2019
ISIN CODE 
FR0013409794
SERIES 
2019-24
SETTLEMENT DATE 
21/03/2019
ISIN CODE 
FR0013409703
SERIES 
2019-22
SETTLEMENT DATE 
20/03/2019
ISIN CODE 
FR0013405222
SERIES 
2019-19
SETTLEMENT DATE 
04/03/2019
ISIN CODE 
FR0013405420
SERIES 
2019-20
SETTLEMENT DATE 
01/03/2019
ISIN CODE 
FR0013404845
SERIES 
2019-18
SETTLEMENT DATE 
27/02/2019
ISIN CODE 
FR0013404464
SERIES 
2019-17
SETTLEMENT DATE 
25/02/2019
ISIN CODE 
FR0013404290
SERIES 
2019-16
SETTLEMENT DATE 
25/02/2019
ISIN CODE 
FR0013404290
SERIES 
2019-16 (RESTRUCTURATION)
SETTLEMENT DATE 
25/02/2019
ISIN CODE 
FR0013400298
SERIES 
2019-15
SETTLEMENT DATE 
08/02/2019
ISIN CODE 
FR0013399292
SERIES 
2019-11
SETTLEMENT DATE 
31/01/2019
ISIN CODE 
FR0013399268
SERIES 
2019-10
SETTLEMENT DATE 
31/01/2019
ISIN CODE 
FR0013398898
SERIES 
2019-08
SETTLEMENT DATE 
30/01/2019
ISIN CODE 
FR0013398732
SERIES 
2019-07
SETTLEMENT DATE 
29/01/2019
ISIN CODE 
FR0013396447
SERIES 
2019-02
SETTLEMENT DATE 
15/01/2019
ISIN CODE 
FR0013393493
SERIES 
2019-01
SETTLEMENT DATE 
11/01/2019

Final Terms for the issue of senior non-preferred notes under BPCE EMTN program

Prospectus disponible en cliquant sur le code ISIN ou le site de l’ AMF, Emetteur BPCE

ISIN CODE 
FR0013455540
SERIES 
2019-52
SETTLEMENT DATE 
24/10/2019
ISIN CODE 
FR0013412343
SERIES 
2019-27 Tranche 2
SETTLEMENT DATE 
09/09/2019
ISIN CODE 
FR0013429073
SERIES 
2019-40
SETTLEMENT DATE 
26/06/2019
ISIN CODE 
FR0013426954
SERIES 
2019-39
SETTLEMENT DATE 
24/06/2019
ISIN CODE 
FR0013426939
SERIES 
2019-38
SETTLEMENT DATE 
24/06/2019
ISIN CODE 
FR0013426921
SERIES 
2019-37
SETTLEMENT DATE 
24/06/2019
ISIN CODE 
FR0013412343
SERIES 
2019-27
SETTLEMENT DATE 
01/04/2019
ISIN CODE 
FR0013398971
SERIES 
2019-09
SETTLEMENT DATE 
30/01/2019

Final Terms for the issue of subordinated notes under BPCE EMTN program

ISIN CODE 
FR0000209793
SERIES 
Avis aux porteurs
SETTLEMENT DATE 
16/07/2019

2018

Final Terms for the issue of senior preferred notes under BPCE EMTN program

ISIN CODE 
FR0013386943
SERIES 
2018-35
SETTLEMENT DATE 
18/12/2018
ISIN CODE 
FR0013378874
SERIES 
2018-34
SETTLEMENT DATE 
31/10/2018
ISIN CODE 
FR0013350188
SERIES 
2018-18
SETTLEMENT DATE 
18/07/2018
ISIN CODE 
FR0013350188
SERIES 
2018-18 (RESTRUCTURATION)
SETTLEMENT DATE 
18/07/2018
ISIN CODE 
FR0013371028
SERIES 
2018-31
SETTLEMENT DATE 
11/10/2018
ISIN CODE 
FR0013367406
SERIES 
2018-28
SETTLEMENT DATE 
26/09/2018
ISIN CODE 
FR0013365608
SERIES 
2018-27
SETTLEMENT DATE 
21/09/2018
ISIN CODE 
FR0013358405
SERIES 
2018-26
SETTLEMENT DATE 
11/09/2018
ISIN CODE 
FR0013357456
SERIES 
2018-25
SETTLEMENT DATE 
04/09/2018
ISIN CODE 
FR0013357191
SERIES 
2018-24
SETTLEMENT DATE 
29/08/2018
ISIN CODE 
FR0013357035
SERIES 
2018-23
SETTLEMENT DATE 
28/08/2018
ISIN CODE 
FR0013352119
SERIES 
2018-21 (RESTRUCTURATION)
SETTLEMENT DATE 
27/07/2018
ISIN CODE 
FR0013352119
SERIES 
2018-21
SETTLEMENT DATE 
27/07/2018
ISIN CODE 
FR0013352085
SERIES 
2018-20
SETTLEMENT DATE 
27/07/2018
ISIN CODE 
FR0013352085
SERIES 
2018-20 (RESTRUCTURATION)
SETTLEMENT DATE 
27/07/2018
ISIN CODE 
FR0013372307
SERIES 
2018-32
SETTLEMENT DATE 
18/10/2018
ISIN CODE 
FR0013342649
SERIES 
2018-14
SETTLEMENT DATE 
14/06/2018
ISIN CODE 
FR0013341377
SERIES 
2018-12
SETTLEMENT DATE 
10/06/2018
ISIN CODE 
FR0013311552
SERIES 
2018-03
SETTLEMENT DATE 
23/01/2018

Final Terms for the issue of senior non-preferred notes under BPCE EMTN program

ISIN CODE 
FR0013368123
SERIES 
2018-30
SETTLEMENT DATE 
28/09/2018
ISIN CODE 
FR0013368115
SERIES 
2018-29
SETTLEMENT DATE 
28/09/2018
ISIN CODE 
FR0013328465
SERIES 
2018-10
SETTLEMENT DATE 
15/04/2018
ISIN CODE 
FR0013323664
SERIES 
2018-08
SETTLEMENT DATE 
22/03/2018
ISIN CODE 
FR0013312501
SERIES 
2018-05
SETTLEMENT DATE 
30/01/2018
ISIN CODE 
FR0013312493
SERIES 
2018-04
SETTLEMENT DATE 
30/01/2018

2017

Final Terms for the issue of senior non-preferred notes under BPCE EMTN program

ISIN CODE 
FR0013245610
SERIES 
2017-14
SETTLEMENT DATE 
30/03/2017

Final Terms for the issue of senior preferred notes under BPCE EMTN program

ISIN CODE 
FR0013277761
SERIES 
2017-35
SETTLEMENT DATE 
31/08/2017
ISIN CODE 
FR0013277761
SERIES 
2017-35 (RESTRUCTURATION)
SETTLEMENT DATE 
31/08/2017
ISIN CODE 
FR0013269347
SERIES 
2017-32
SETTLEMENT DATE 
27/07/2017
ISIN CODE 
FR0013269347
SERIES 
2017-32 (RESTRUCTURATION)
SETTLEMENT DATE 
27/07/2017
ISIN CODE 
FR0013270832
SERIES 
2017-34
SETTLEMENT DATE 
27/07/2017
ISIN CODE 
FR0013269586
SERIES 
2017-33
SETTLEMENT DATE 
20/07/2017
ISIN CODE 
FR0013261187
SERIES 
2017-28
SETTLEMENT DATE 
27/06/2017
ISIN CODE 
FR0013261187
SERIES 
2017-28 (RESTRUCTURATION)
SETTLEMENT DATE 
27/06/2017
ISIN CODE 
FR0013253614
SERIES 
2017-21
SETTLEMENT DATE 
05/05/2017
ISIN CODE 
FR0013253614
SERIES 
2017-21 (RESTRUCTURATION)
SETTLEMENT DATE 
05/05/2017
ISIN CODE 
FR0013253549
SERIES 
2017-20
SETTLEMENT DATE 
05/05/2017
ISIN CODE 
FR0013253549
SERIES 
2017-20 (RESTRUCTURATION)
SETTLEMENT DATE 
05/05/2017
ISIN CODE 
FR0013252129
SERIES 
2017-18
SETTLEMENT DATE 
24/04/2017
ISIN CODE 
FR0013245271
SERIES 
2017-11
SETTLEMENT DATE 
03/04/2017
ISIN CODE 
FR0013244373
SERIES 
2017-10
SETTLEMENT DATE 
15/03/2017
ISIN CODE 
FR0013233459
SERIES 
2017-03
SETTLEMENT DATE 
30/01/2017

2016

Final Terms for the issue of senior notes under BPCE EMTN program

ISIN CODE 
FR0013219433
SERIES 
2016-40
SETTLEMENT DATE 
17/11/2016
ISIN CODE 
FR0013219409
SERIES 
2016-39
SETTLEMENT DATE 
17/11/2016
ISIN CODE 
FR0013202603
SERIES 
2016-32
SETTLEMENT DATE 
06/10/2016
ISIN CODE 
FR0013204468
SERIES 
2016-34
SETTLEMENT DATE 
05/10/2016
ISIN CODE 
FR0013204476
SERIES 
2016-33
SETTLEMENT DATE 
05/10/2016
ISIN CODE 
FR0013186913
SERIES 
2016-30
SETTLEMENT DATE 
04/07/2016
ISIN CODE 
FR0013184082
SERIES 
2016-29
SETTLEMENT DATE 
21/06/2016
ISIN CODE 
FR0013183704
SERIES 
2016-28
SETTLEMENT DATE 
20/06/2016
ISIN CODE 
FR0013183241
SERIES 
2016-27
SETTLEMENT DATE 
16/06/2016
ISIN CODE 
FR0013176260
SERIES 
2016-22
SETTLEMENT DATE 
27/05/2016
ISIN CODE 
FR0013174687
SERIES 
2016-21
SETTLEMENT DATE 
20/05/2016
ISIN CODE 
FR0013154523
SERIES 
2016-17
SETTLEMENT DATE 
21/04/2016
ISIN CODE 
FR0013150067
SERIES 
2016-15
SETTLEMENT DATE 
15/04/2016
ISIN CODE 
FR0013144086
SERIES 
2016-14
SETTLEMENT DATE 
06/04/2016
ISIN CODE 
FR0013142023
SERIES 
2016-12
SETTLEMENT DATE 
30/03/2016
ISIN CODE 
FR0013108974
SERIES 
2016-05
SETTLEMENT DATE 
02/02/2016

Final Terms for the issue of subordinated notes under BPCE EMTN program

ISIN CODE 
FR0013179736
SERIES 
2016-24
SETTLEMENT DATE 
03/06/2016
ISIN CODE 
FR0013162591
SERIES 
2016-20
SETTLEMENT DATE 
03/05/2016
ISIN CODE 
FR0013155009
SERIES 
2016-19
SETTLEMENT DATE 
22/04/2016
ISIN CODE 
FR0013137791
SERIES 
2016-11
SETTLEMENT DATE 
17/03/2016
ISIN CODE 
FR0013135050
SERIES 
2016-07
SETTLEMENT DATE 
17/03/2016

2015

Final Terms for the issue of senior notes under BPCE EMTN program

ISIN CODE 
FR0012961910
SERIES 
2015-29
SETTLEMENT DATE 
01/10/2015
ISIN CODE 
FR0012612653
SERIES 
2015-12
SETTLEMENT DATE 
13/03/2015
ISIN CODE 
FR0012433878
SERIES 
2015-03
SETTLEMENT DATE 
14/01/2015

Final Terms for the issue of subordinated notes under BPCE EMTN program

ISIN CODE 
FR0013063385
SERIES 
2015-37
SETTLEMENT DATE 
30/11/2015

Stand alone Prospectus for the issue of subordinated notes issued by BPCE

2014

Final Terms of issues under BPCE EMTN program

ISIN CODE 
FR0012172369
SERIES 
2014-81
SETTLEMENT DATE 
19/09/2014
ISIN CODE 
FR0012007458
SERIES 
2014-66
SETTLEMENT DATE 
02/07/2014
ISIN CODE 
FR0011978287
SERIES 
2014-61
SETTLEMENT DATE 
20/06/2014
ISIN CODE 
FR0011689579
SERIES 
2014-05
SETTLEMENT DATE 
20/01/2014

Stand alone bonds issued BPCE

2013

Final Terms of issues under BPCE EMTN program

ISIN CODE 
FR0011575463
SERIES 
2013-57
SETTLEMENT DATE 
26/09/2013
ISIN CODE 
FR0011390921
SERIES 
2013-03 tr2
SETTLEMENT DATE 
25/09/2013
ISIN CODE 
FR0011390921
SERIES 
2013-03
SETTLEMENT DATE 
25/01/2013

2012

Final Terms of issues under BPCE EMTN program

ISIN CODE 
FR0011334366
SERIES 
2012-39
SETTLEMENT DATE 
28/09/2012
ISIN CODE 
FR0011322742
SERIES 
2012-37
SETTLEMENT DATE 
18/09/2012
ISIN CODE 
FR0011280056
SERIES 
2012-26
SETTLEMENT DATE 
06/07/2012
ISIN CODE 
FR0011197409
SERIES 
2012-06 tr3
SETTLEMENT DATE 
04/05/2012
ISIN CODE 
FR0011197409
SERIES 
2012-6 tr2
SETTLEMENT DATE 
27/03/2012
ISIN CODE 
FR0011197409
SERIES 
2012-06
SETTLEMENT DATE 
10/02/2012

2011

Final Terms of issues under BPCE EMTN program

Click on ISIN code link to access Prospectus or visit AMF website. Issuer:BPCE

ISIN CODE 
FR0011116037
SERIES 
2011-24
SETTLEMENT DATE 
23/09/2011
ISIN CODE 
FR0010989079
SERIES 
2011-01
SETTLEMENT DATE 
21/01/2011

2009

Tier 1 hybrid issues completed by BPCE in August 2009

Tier 1 hybrid issues completed by BPCE in August 2009

Exchange Offering Memorandum

DOCUMENT PDF

Download 1 Mo

August 4th, 2009 : BPCE announces results of exchange offers for Natixis Tier 1 securities

DOCUMENT PDF

Download 91 Ko

6 juillet 2009 : BPCE lance sept Offres d'échange visant des titres Tier1 de Natixis

DOCUMENT PDF

Download 71 Ko

Call Notice US05571AAA34

DOCUMENT PDF

Download 119 Ko

Call Notice FR0010777524

DOCUMENT PDF

Download 115 Ko