Fixed Income Securities

Issuer: Vivendi S.A.
Information is as of September 4, 2008

Click on the relevant fixed income indebtness to read the corresponding prospectus document in PDF format:
Coupon Maturity Type of Fixed Income Indebtness Face Amount (*) ISIN # Trustee Status
3,625% 04/06/2010 Bonds
€ 630m
-
  Outstanding
3,875% 02/15/2012  Bonds € 600m
-
Outstanding
3,875% 10/03/2013  Fixed Rate Notes € 500m
FR0010369629
BNP Paribas Outstanding
- 10/03/2011  Floating Rate Notes € 700m
FR0010369637
BNP Paribas Outstanding
5.750% 04/04/2013 Five-Year Notes
$ 700m
144AUS92852EAK10
Bank of NY Outstanding
6.625% 04/04/2018 Download  Ten-Year Notes
$700m
144AUS92852EAK10
Bank of NY Outstanding

* Face amount is defined as total amount outstanding (in millions of US Dollars or Euros) for each bond issue at issuance.
Important Note: Some of the above indebtness contractually contain early redemption clauses.

   
       
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