Assemblées de porteurs d’obligations

  Séries n°2, Tranche n°1 Euro 500 000 000 4,250 %. Notes due 1 December 2016
ISIN: FR0010830042 – Final terms dated 30 November 2009 and Base Prospectus dated 2 December 2008 (“2016 Notes”);

 

  Séries n°3, Tranche n°1 Euro 700 000 000 4,875 %. Notes due 2 December 2019
ISIN: FR0010830034 – Final terms dated 30 November 2009 and Base Prospectus dated 2 December 2008 (“2019 Notes”); et

 

  Séries n°3, Tranche n°1 Euro 750 000 000 4,00 %. Notes due 31 March 2017
ISIN: FR0010878751 – Final terms dated 29 March 2010 and Base Prospectus dated 23 March 2010 (“2017 Notes”).