Monthly Review of the commercial paper and medium-term ...€¦ · I. Overview* of the commercial...
Transcript of Monthly Review of the commercial paper and medium-term ...€¦ · I. Overview* of the commercial...
Monthly Reviewof the commercial paper and medium-term notes market
at 31/10/2017
COMMERCIAL PAPER AND MEDIUM TERM NOTES
I. Overview* of the commercial paper and medium-term notes market in october 2017
all currencies, EUR equivalent, billions of units
Outstandingamount in
october 2017
Issue amountin october
2017
Matured Debtin october
2017
Outstandingamount in
september 2017
Number ofissuers in
october 2017
Commercial Paper 275,7 103,2 - 93,7 270,5 184
Bank issuers 207,6 56,4 - 48,3 203,8 77
Others financial issuers of which asset backed securities issuers
6,0 5,4
4,7 4,6
- 4,4- 4,4
5,7 5,2
54
Non financial issuers 51,1 22,7 - 22,4 50,8 88
Public issuers 11,0 19,4 - 18,6 10,2 14
Medium Term Notes 52,9 2,4 - 0,5 51,1 20
Bank issuers 47,1 2,4 - 0,5 45,3 19
Others financial issuers of which asset backed securities issuers
0,6 0,4
0,0 0,0
0,0 0,0
0,6 0,4
-
Non financial issuers 0,3 0,0 0,0 0,3 1
Public issuers 5,0 0,0 0,0 5,0 -
Total 328,6 105,6 - 94,2 321,6 204
* The issuers categories are defined in the methodological note related to statistical reviews.
Monthly Review produced on 07/11/2017 2 Source : Banque de France - STCNContact : [email protected]
COMMERCIAL PAPER
II. Commercial Paper in october 2017
II.1. Overview
II.1.1. Breakdown of outstanding amounts and issues by issue's currency (by issuers category) II.1.2. Breakdown of outstanding amounts and issues by rating (by issuers category) II.1.3. Breakdown of outstanding amounts and issues by maturity (by issuers category) II.1.4. Breakdown of outstanding amounts and issues by interest rate category and maturity (by issuers category)
II.2. List of issuers of Commercial Paper at 31/10/2017 : outstanding amounts and transactions by issuers category and by geographical area
COMMERCIAL PAPER
II.1. Overview
II.1.1. Breakdown of outstanding amounts and issues by issue's currency (by issuers category)millions of units
Outstandingamount in
october 2017
Issue amountin october
2017
Matured Debtin october 2017
Outstandingamount in
september 2017
Number ofissuers in
october 2017
Bank issuersAUD 58,5 15,0 - 69,0 112,5 1CAD 114,6 60,6 - 106,0 160,1 2EUR 182 179,6 51 254,0 - 42 143,8 177 289,0 75GBP 12 974,0 3 071,8 - 3 053,3 13 102,5 8HKD 50,0 50,0 - 50,0 50,0 1NOK 1 000,0 0,0 - 500,0 1 500,0 0SEK 15 000,0 0,0 - 120,0 15 120,0 0SGD 10,0 0,0 0,0 10,0 0USD 10 288,9 1 857,8 - 2 928,7 11 483,6 16
EUR Equivalent 207 559,7 56 402,5 - 48 322,2 203 796,8of which secured Negociable European Commercial Paper 8 215,1 737,8 - 2 245,0 9 731,2
Others financial issuers Excluding asset backed securities issuers
EUR 580,0 100,0 - 60,0 540,0 1
EUR Equivalent 580,0 100,0 - 60,0 540,0
Asset backed securities issuersEUR 5 412,1 4 601,7 - 4 357,4 5 167,8 4
EUR Equivalent 5 412,1 4 601,7 - 4 357,4 5 167,8
Total financial issuers (a) 213 551,8 61 104,2 - 52 739,6 209 504,6
Monthly Overview produced on 07/11/2017Source : Banque de France - STCNContact : [email protected] 2
COMMERCIAL PAPER
II.1.1 Breakdown of outstanding amounts and issues by issue's currency (by issuers category) - next
millions of units
Outstandingamount in
october 2017
Issue amountin october
2017
Matured Debtin october
2017
Outstandingamount in
september 2017
Number ofissuers in
october 2017
Non financial issuersEUR 49 294,8 21 387,6 - 21 094,2 49 001,4 87GBP 90,0 55,0 - 45,0 80,0 2USD 2 027,0 1 473,5 - 1 438,5 1 992,0 16
EUR Equivalent 51 139,0 22 716,3 - 22 381,5 50 779,4
Public issuersEUR 11 000,0 19 395,5 - 18 584,5 10 189,0 14
EUR Equivalent 11 000,0 19 395,5 - 18 584,5 10 189,0
Total non-financial and public issuers (b) 62 139,0 42 111,8 - 40 966,0 60 968,4
Total short-term market (a)+(b) 275 690,8 103 216,0 - 93 705,6 270 473,0
Monthly Overview produced on 07/11/2017Source : Banque de France - STCNContact : [email protected] 3
COMMERCIAL PAPER
II.1.2. Breakdown of outstanding amounts and issues by rating* (by issuers category)
all currencies, EUR equivalent, millions of units
Outstandingamount in
october 2017
Issue amountin october
2017
Matured Debtin october 2017
Outstandingamount in
september 2017
Number ofissuers in
october 2017
Bank issuers 207 559,7 56 402,5 - 48 322,2 203 796,8 78Class 1 19 075,3 4 639,6 - 3 638,5 18 102,2 9Class 2 139 964,3 47 238,1 - 39 751,4 135 728,0 41Class 3 24 349,3 1 675,3 - 1 649,9 24 643,3 9Class 4 16 036,2 1 385,2 - 2 415,6 17 454,6 4Unrated 8 134,6 1 464,3 - 866,8 7 868,7 15
Others financial issuers Excluding asset backed securities issuers 580,0 100,0 - 60,0 540,0 1
Class 3 580,0 100,0 - 60,0 540,0 1
Asset backed securities issuers 5 412,1 4 601,7 - 4 357,4 5 167,8 4Class 2 5 412,1 4 601,7 - 4 357,4 5 167,8 4
Total financial issuers (a) 213 551,8 61 104,2 - 52 739,6 209 504,6 83
* The rating classes are defined in the methodological note related to statistical reviews.
Monthly Overview produced on 07/11/2017Source : Banque de France - STCNContact : [email protected] 4
COMMERCIAL PAPER
II.1.2. Breakdown of outstanding amounts and issues by rating* (by issuers category) - next
all currencies, EUR equivalent, millions of units
Outstandingamount in
october 2017
Issue amountin october
2017
Matured Debtin october 2017
Outstandingamount in
september 2017
Number ofissuers in
october 2017
Non financial issuers 51 139,0 22 716,3 - 22 381,5 50 779,4 88Class 1 1 827,7 1 092,3 - 967,2 1 695,5 4Class 2 2 390,2 1 334,2 - 1 808,5 2 861,3 5Class 3 27 114,4 11 565,2 - 11 149,4 26 688,2 30Class 4 3 957,2 1 046,2 - 1 512,2 4 419,3 4Unrated 15 849,5 7 678,4 - 6 944,2 15 115,2 45
Public issuers 11 000,0 19 395,5 - 18 584,5 10 189,0 14Class 1 10 841,0 19 280,5 - 18 467,5 10 028,0 11Class 2 159,0 115,0 - 117,0 161,0 3
Total non-financial and public issuers (b) 62 139,0 42 111,8 - 40 966,0 60 968,4 102
Total short-term market (a)+(b) 275 690,8 103 216,0 - 93 705,6 270 473,0 185
* The rating classes are defined in the methodological note related to statistical publications reviews.
Monthly Overview produced on 07/11/2017Source : Banque de France - STCNContact : [email protected] 5
COMMERCIAL PAPER
II.1.3. Breakdown of outstanding amounts and issues by maturity (by issuers category)
all currencies
Bank issuers
Breakdown of outstanding amountsby original maturity and residual maturity at 31/10/2017 (in %)
Breakdown of issues by original maturity at 31/10/2017 (in %)
Monthly Overview produced on 07/11/2017Source : Banque de France - STCNContact : [email protected] 6
COMMERCIAL PAPER
Excluding asset backed securities issuers
Asset backed securities issuers
Breakdown of outstanding amountsby original maturity and residual maturity at 31/10/2017 (in %)
Breakdown of issues by original maturity at 31/10/2017 (in %)
all currencies
Monthly Overview produced on 07/11/2017Source : Banque de France - STCNContact : [email protected] 7
COMMERCIAL PAPER
all currencies
Non financial issuers
Breakdown of outstanding amountsby original maturity and residual maturity at 31/10/2017 (in %)
Breakdown of issues by original maturity at 31/10/2017 (in %)
Public issuers
Monthly Overview produced on 07/11/2017Source : Banque de France - STCNContact : [email protected] 8
COMMERCIAL PAPER
II.1.4. Breakdown of outstanding amounts and issues by interest rate category and maturity (by issuers category)
Bank issuersOthers financial issuers
Excluding asset backed securitiesissuers Asset backed securities issuers
Fixed Structured Variable oradjustable Fixed Structured Variable or
adjustable Fixed Structured Variable oradjustable
From 1 to 3 days 100,0% 0,0% 0,0% 0,0% 0,0% 0,0% 100,0% 0,0% 0,0%
From 4 to 9 days 93,7% 0,6% 5,8% 0,0% 0,0% 0,0% 0,0% 0,0% 0,0%
From 10 days up to 1 month 98,1% 1,3% 0,7% 0,0% 0,0% 0,0% 100,0% 0,0% 0,0%
From 1 month up to 3 months 92,4% 0,3% 7,3% 100,0% 0,0% 0,0% 100,0% 0,0% 0,0%
From 3 months up to 6 months 86,3% 0,0% 13,7% 100,0% 0,0% 0,0% 100,0% 0,0% 0,0%
From 6 months up to 1 year 31,9% 0,0% 68,1% 0,0% 0,0% 0,0% 100,0% 0,0% 0,0%
All maturities 75,7% 0,2% 24,1% 100,0% 0,0% 0,0% 100,0% 0,0% 0,0%
Monthly Overview produced on 07/11/2017Source : Banque de France - STCNContact : [email protected] 9
COMMERCIAL PAPER
II.1.4. Breakdown of outstanding amounts and issues by interest rate category and maturity (by issuers category) - next
Non financial issuers Public issuers
Fixed Structured Variable oradjustable Fixed Structured Variable or
adjustable
From 1 to 3 days 100,0% 0,0% 0,0% 100,0% 0,0% 0,0%
From 4 to 9 days 100,0% 0,0% 0,0% 75,8% 0,0% 24,2%
From 10 days up to 1 month 100,0% 0,0% 0,0% 100,0% 0,0% 0,0%
From 1 month up to 3 months 98,8% 0,0% 1,2% 100,0% 0,0% 0,0%
From 3 months up to 6 months 99,1% 0,0% 0,9% 0,0% 0,0% 0,0%
From 6 months up to 1 year 91,7% 0,0% 8,3% 100,0% 0,0% 0,0%
All maturities 99,2% 0,0% 0,8% 87,1% 0,0% 12,9%
Monthly Overview produced on 07/11/2017Source : Banque de France - STCNContact : [email protected] 10
COMMERCIAL PAPER
II.2.1 Bank issuers
- Residents amounts in millions, maturity in number of days
Issuer Issue currencyOutstandingamount in
october 2017
Issueamount inoctober
2017
Matured Debtin october
2017
Outstandingamount inseptember
2017
Averageoriginal
maturity ofoutstanding
amount
Averageresidual
maturity ofoutstanding
amount
Averageoriginal
maturity ofissues
AGENCE FRANCAISE DE DEVELOPPEMENT EUR 100,0 0,0 0,0 100,0 519 107 0
ALLIANZ BANQUE EUR 253,0 25,0 -28,0 256,0 326 184 328
AUXIFIP EUR 10,0 0,0 0,0 10,0 363 148 0
AXA BANQUE EUR 184,6 1,6 -4,0 187,0 361 217 364
AXA BANQUE FINANCEMENT EUR 80,0 30,0 0,0 50,0 354 293 360
BANQUE EDEL S.N.C EUR 77,9 10,0 -1,1 69,0 365 226 364
BANQUE FEDERATIVE DU CREDIT MUTUEL EUR 12 583,2 2 869,0 -545,0 10 372,6 347 200 311GBP 47,0 0,0 0,0 47,0 297 191 0USD 98,0 0,0 -1,0 109,0 378 171 0
Equivalent_EUR 12 720,93 2 869 -545,86 10 518,2 347 200 311
BANQUE PALATINE AUD 0,0 0,0 -1,5 1,5 0 0 0CAD 60,0 60,0 -2,5 2,5 62 43 62EUR 3 029,0 657,0 -247,0 2 948,9 331 158 278USD 20,8 19,4 -11,3 12,7 71 28 36
Equivalent_EUR 3 086,87 713,66 -259,33 2 962,42 326 155 260
BANQUE POPULAIRE AQUITAINE CENTRE ATLANTIQUE EUR 100,4 0,0 0,0 100,4 344 51 0
BANQUE POPULAIRE AUVERGNE RHONE ALPES EUR 11,5 11,5 0,0 0,0 92 78 92
BANQUE POPULAIRE BOURGOGNE FRANCHE-COMTE EUR 58,6 125,5 -97,0 30,1 91 57 10
BANQUE POPULAIRE DE L'OUEST EUR 0,0 4,5 -4,5 0,0 0 0 19
BANQUE POPULAIRE MEDITERRANEE EUR 1,5 0,0 0,0 1,5 365 212 0
BANQUE POPULAIRE RIVES DE PARIS EUR 831,1 22,5 -36,0 844,6 103 37 91
BANQUE POPULAIRE VAL DE FRANCE EUR 64,0 0,2 -0,4 64,2 261 54 365
II.2. List of issuers of Commercial Paper at 31/10/2017 : outstanding amounts and transactions by issuers category and by geographical area
Monthly Overview produced on 07/11/2017Source : Banque de France - STCNContact : [email protected] 11
COMMERCIAL PAPER
II.2.1 Bank issuers
- Residents amounts in millions, maturity in number of days
Issuer Issue currencyOutstandingamount in
october 2017
Issueamount inoctober
2017
Matured Debtin october
2017
Outstandingamount inseptember
2017
Averageoriginal
maturity ofoutstanding
amount
Averageresidual
maturity ofoutstanding
amount
Averageoriginal
maturity ofissues
BMW FINANCE SNC EUR 15,0 0,0 0,0 15,0 365 240 0
BNP PARIBAS EUR 22 233,4 1 838,6 -1 648,9 22 624,7 317 173 203GBP 757,0 95,0 -60,0 722,0 188 48 22USD 302,5 30,0 -5,0 403,5 150 46 33
Equivalent_EUR 23 355,03 1 972,48 -1 721,45 23 785,31 311 167 191
BNP PARIBAS FACTOR EUR 10,0 0,0 0,0 10,0 364 127 0
BNP PARIBAS LEASE GROUP EUR 10,0 0,0 0,0 10,0 364 127 0
BPCE AUD 0,0 0,0 -52,5 52,5 0 0 0EUR 23 067,7 3 490,5 -3 298,6 23 093,2 361 192 259GBP 1 154,0 79,0 -176,0 1 308,0 193 89 85USD 65,0 4,0 -67,0 128,0 364 176 21
Equivalent_EUR 24 437,07 3 583,87 -3 591,04 24 719,87 352 186 255
BPIFRANCE FINANCEMENT EUR 3 283,0 533,5 -690,5 3 440,0 321 185 263
BRED-BANQUE POPULAIRE AUD 15,0 15,0 -15,0 15,0 92 72 92CAD 54,1 0,0 0,0 54,1 364 189 0EUR 4 509,1 5 335,7 -5 433,7 4 607,1 87 48 18GBP 3 090,0 1 512,0 -650,0 2 248,0 89 39 58HKD 50,0 50,0 -50,0 50,0 94 69 94SGD 10,0 0,0 0,0 10,0 91 51 0USD 116,3 74,5 -193,5 235,3 160 100 105
Equivalent_EUR 8 183,96 7 136,12 -6 355,21 7 414,22 90 45 29
BTP BANQUE EUR 0,2 0,0 0,0 0,2 92 10 0
CA CONSUMER FINANCE EUR 686,0 40,0 -37,0 683,0 166 58 91
CA INDOSUEZ WEALTH (FRANCE) CAD 0,6 0,6 0,0 0,0 31 13 31USD 6,0 13,7 -8,1 8,1 49 18 32
Equivalent_EUR 5,52 12,13 -6,95 6,85 48 18 32
CAISSE CENTRALE DU CREDIT MUTUEL EUR 742,8 450,0 0,0 292,8 364 280 364
CAISSE D'EPARGNE ET DE PREVOYANCE ILE-DE-FRANCE EUR 100,0 0,0 0,0 100,0 362 194 0
CAISSE DES DEPOTS ET CONSIGNATIONS EUR 15,0 0,0 0,0 15,0 172 140 0
Monthly Overview produced on 07/11/2017Source : Banque de France - STCNContact : [email protected] 12
COMMERCIAL PAPER
II.2.1 Bank issuers
- Residents amounts in millions, maturity in number of days
Issuer Issue currencyOutstandingamount in
october 2017
Issueamount inoctober
2017
Matured Debtin october
2017
Outstandingamount inseptember
2017
Averageoriginal
maturity ofoutstanding
amount
Averageresidual
maturity ofoutstanding
amount
Averageoriginal
maturity ofissues
GBP 897,0 0,0 -156,0 1 053,0 165 88 0USD 325,0 0,0 -45,0 370,0 282 239 0
Equivalent_EUR 1 315,28 0 -216,24 1 522,58 190 121
CAISSE FEDERALE DU CIT MUT MAINE-ANJOU ET BASSE-NORMANDIE EUR 615,0 186,0 -102,0 558,0 236 126 231
CAISSE FEDERALE DU CREDIT MUTUEL NORD EUROPE EUR 634,0 112,0 0,0 522,0 119 68 119
CAISSE FEDERALE DU CREDIT MUTUEL OCEAN EUR 901,0 255,0 -109,0 765,0 242 127 221
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUELATLANTIQUE VENDEE EUR 443,5 108,0 -30,0 415,5 360 196 332
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL BRIEPICARDIE EUR 1 475,8 180,0 -27,0 1 322,8 308 171 168
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUELCHARENTE MARITIME DEUX SEVRES EUR 25,6 12,3 -4,8 18,2 203 89 113
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUELCHARENTE PERIGORD EUR 230,5 99,0 -77,5 255,0 190 100 91
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL D'ALPES-PROVENCE EUR 667,1 110,6 -71,9 628,6 343 211 363
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUELD'AQUITAINE EUR 721,0 75,0 -93,0 739,0 381 205 364
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL DECENTRE FRANCE EUR 50,0 0,0 0,0 50,0 90 59 0
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL DEL'ANJOU ET DU MAINE EUR 1 051,3 125,0 -209,0 1 232,8 397 190 362
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL DE LAREUNION EUR 70,6 0,0 0,0 70,6 364 184 0
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL DELORRAINE EUR 14,6 1,4 -1,6 16,5 353 131 3
Monthly Overview produced on 07/11/2017Source : Banque de France - STCNContact : [email protected] 13
COMMERCIAL PAPER
II.2.1 Bank issuers
- Residents amounts in millions, maturity in number of days
Issuer Issue currencyOutstandingamount in
october 2017
Issueamount inoctober
2017
Matured Debtin october
2017
Outstandingamount inseptember
2017
Averageoriginal
maturity ofoutstanding
amount
Averageresidual
maturity ofoutstanding
amount
Averageoriginal
maturity ofissues
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL DEPARIS ET D'ILE DE FRANCE EUR 55,0 25,0 -25,0 55,0 365 325 365
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL DESCOTES-D'ARMOR EUR 621,8 50,0 -50,0 621,8 387 231 364
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL D'ILLE ETVILAINE EUR 10,0 0,0 0,0 10,0 364 290 0
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL DUFINISTERE EUR 327,5 60,0 -50,0 377,5 467 208 365
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL DUMORBIHAN EUR 50,2 30,2 0,0 20,0 364 280 364
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL DUNORD EST EUR 1 191,0 115,0 -105,0 1 191,0 387 182 294
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL NORDDE FRANCE EUR 30,0 0,0 0,0 30,0 365 14 0
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUELNORMANDIE-SEINE EUR 677,8 60,0 -30,0 677,8 344 171 214
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUELPROVENCE COTE D'AZUR EUR 0,8 0,0 0,0 0,8 186 83 0
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUELPYRENEES-GASCOGNE EUR 101,0 26,0 0,0 75,0 306 154 184
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL SUD-RHONE-ALPES EUR 239,1 0,0 0,0 239,1 391 167 0
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUELTOULOUSE 31 EUR 413,6 65,0 -30,0 378,6 293 168 299
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL VAL DEFRANCE EUR 19,0 0,0 0,0 19,0 365 156 0
Monthly Overview produced on 07/11/2017Source : Banque de France - STCNContact : [email protected] 14
COMMERCIAL PAPER
II.2.1 Bank issuers
- Residents amounts in millions, maturity in number of days
Issuer Issue currencyOutstandingamount in
october 2017
Issueamount inoctober
2017
Matured Debtin october
2017
Outstandingamount inseptember
2017
Averageoriginal
maturity ofoutstanding
amount
Averageresidual
maturity ofoutstanding
amount
Averageoriginal
maturity ofissues
CARREFOUR BANQUE EUR 406,0 457,0 -393,0 342,0 119 51 39
CICOBAIL EUR 10,0 0,0 0,0 10,0 364 199 0
CLAAS FINANCIAL SERVICES EUR 1,0 0,0 0,0 1,0 364 52 0
CM-CIC BAIL EUR 1 040,0 135,0 -95,0 1 000,0 300 192 309
CM-CIC FACTOR EUR 500,0 0,0 0,0 500,0 184 47 0
CM-CIC LEASE EUR 20,0 0,0 0,0 20,0 306 120 0
CNH INDUSTRIAL CAPITAL EUROPE EUR 1,0 0,0 0,0 1,0 364 52 0
CNH INDUSTRIAL FINANCIAL SERVICES EUR 99,5 0,5 -0,6 99,6 281 125 151
COFIDIS EUR 50,0 0,0 0,0 50,0 91 50 0
COMPAGNIE GENERALE DE LOCATION D'EQUIPEMENTS EUR 200,0 76,0 0,0 124,0 302 143 204
CREDIT AGRICOLE CORPORATE AND INVESTMENT BANK EUR 1 422,7 234,5 -23,0 1 217,2 318 123 55GBP 20,0 0,0 0,0 20,0 364 162 0USD 15,0 0,0 0,0 15,0 364 94 0
Equivalent_EUR 1 458,35 234,5 -23 1 252,58 319 123 55
CREDIT AGRICOLE LEASING & FACTORING SA EUR 10,0 0,0 0,0 10,0 363 148 0
CREDIT AGRICOLE S.A. EUR 4 365,8 10 799,6 -10 784,3 4 403,3 348 207 17GBP 170,0 0,0 0,0 170,0 187 5 0USD 0,0 4,0 -4,0 0,0 0 0 28
Equivalent_EUR 4 559,32 10 803 -10 787,74 4 596,1 341 199 17
CREDIT COOPERATIF EUR 5,0 0,0 0,0 5,0 344 59 0
CREDIT DU NORD EUR 1 147,5 0,0 0,0 1 147,5 298 102 0GBP 3,0 0,0 0,0 3,0 107 52 0USD 5,6 0,0 0,0 5,6 108 45 0
Equivalent_EUR 1 155,7 0 0 1 155,62 297 102
Monthly Overview produced on 07/11/2017Source : Banque de France - STCNContact : [email protected] 15
COMMERCIAL PAPER
II.2.1 Bank issuers
- Residents amounts in millions, maturity in number of days
Issuer Issue currencyOutstandingamount in
october 2017
Issueamount inoctober
2017
Matured Debtin october
2017
Outstandingamount inseptember
2017
Averageoriginal
maturity ofoutstanding
amount
Averageresidual
maturity ofoutstanding
amount
Averageoriginal
maturity ofissues
CREDIT INDUSTRIEL ET COMMERCIAL EUR 4 839,2 1 014,0 -316,0 4 186,4 371 264 359GBP 145,0 0,0 -10,0 155,0 223 156 0USD 50,0 0,0 -400,0 450,0 202 41 0
Equivalent_EUR 5 047,16 1 014 -671,08 4 743,29 364 259 359
CREDIT LYONNAIS EUR 2 792,8 625,0 -637,4 2 810,2 278 137 214
CREDIT MUNICIPAL DE PARIS EUR 535,0 125,0 -135,0 545,0 169 89 123
CREDIT MUTUEL ARKEA EUR 1 673,9 4 000,0 -4 209,5 1 897,4 320 192 13GBP 70,0 0,0 -35,0 105,0 137 63 0USD 128,5 10,0 -3,5 122,0 210 102 92
Equivalent_EUR 1 863,94 4 008,59 -4 252,35 2 119,77 306 181 13
DEXIA CREDIT LOCAL EUR 4 272,7 624,0 -2 245,0 5 943,7 341 167 364GBP 1 220,0 100,0 0,0 1 120,0 228 66 88USD 2 972,0 0,0 0,0 2 972,0 276 133 0
Equivalent_EUR 8 215,06 737,83 -2 245 9 731,21 302 139 321of which secured Commercial Paper 8 215,06 737,83 -2 245 9 731,21
DIAC SA EUR 114,0 0,0 -12,0 126,0 353 277 0
EDMOND DE ROTHSCHILD (FRANCE) EUR 70,0 0,0 0,0 70,0 363 168 0
FINAMUR EUR 10,0 0,0 0,0 10,0 363 148 0
FRANFINANCE EUR 451,0 58,0 -91,0 484,0 310 134 243
GENEBANQUE EUR 15,0 0,0 0,0 15,0 364 264 0
HSBC FRANCE EUR 3 203,0 1 300,0 0,0 1 953,0 360 167 352
JCB FINANCE EUR 5,0 0,0 0,0 5,0 364 314 0
LA BANQUE POSTALE EUR 2 019,4 4 094,5 -4 620,5 2 549,4 324 178 13GBP 616,0 34,0 -474,0 1 056,0 106 61 7USD 3 064,2 789,5 -705,5 2 980,2 129 73 93
Equivalent_EUR 5 353,46 4 811,58 -5 766,24 6 271,26 200 111 24
LIXXBAIL EUR 10,0 0,0 0,0 10,0 363 148 0
Monthly Overview produced on 07/11/2017Source : Banque de France - STCNContact : [email protected] 16
COMMERCIAL PAPER
II.2.1 Bank issuers
- Residents amounts in millions, maturity in number of days
Issuer Issue currencyOutstandingamount in
october 2017
Issueamount inoctober
2017
Matured Debtin october
2017
Outstandingamount inseptember
2017
Averageoriginal
maturity ofoutstanding
amount
Averageresidual
maturity ofoutstanding
amount
Averageoriginal
maturity ofissues
MFF EUR 1,0 0,0 0,0 1,0 364 100 0
NATIOCREDIBAIL EUR 1,0 0,0 0,0 1,0 364 314 0
NATIOCREDIMURS EUR 2,0 0,0 0,0 2,0 364 52 0
NATIXIS CAD 0,0 0,0 -103,5 103,5 0 0 0EUR 10 045,6 2 250,0 -1 165,0 10 084,2 370 188 252GBP 2 511,0 51,8 -290,1 2 799,3 135 44 112NOK 0,0 0,0 -500,0 500,0 0 0 0USD 173,5 42,7 -42,0 172,9 135 34 57
Equivalent_EUR 13 052,8 2 345,58 -1 652,81 13 528,89 316 155 245
NATIXIS BAIL EUR 5,0 0,0 0,0 5,0 364 199 0
NATIXIS FACTOR EUR 10,0 0,0 0,0 10,0 365 94 0
NATIXIS LEASE EUR 15,0 0,0 0,0 15,0 365 44 0
NATIXIS LEASE IMMO EUR 15,0 0,0 0,0 15,0 365 135 0
ONEY BANK EUR 214,0 0,0 -50,0 264,0 338 68 0
ORANGE BANK EUR 35,2 0,0 0,0 35,2 285 190 0
PSA BANQUE FRANCE EUR 191,0 71,0 -5,0 125,0 365 267 364
RCI BANQUE SA EUR 478,0 50,0 -99,0 527,0 252 167 94
ROTHSCHILD ET COMPAGNIE BANQUE EUR 0,0 0,0 -17,4 0,0 0 0 0
ROTHSCHILD MARTIN MAUREL EUR 96,0 0,0 0,0 113,4 225 133 0
SFIL EUR 634,0 138,0 -105,0 601,0 185 79 129
SOCIETE GENERALE AUD 43,5 0,0 0,0 43,5 206 116 0EUR 3 690,9 3 251,0 -1 089,4 2 139,3 143 80 84
Monthly Overview produced on 07/11/2017Source : Banque de France - STCNContact : [email protected] 17
COMMERCIAL PAPER
II.2.1 Bank issuers
- Residents amounts in millions, maturity in number of days
Issuer Issue currencyOutstandingamount in
october 2017
Issueamount inoctober
2017
Matured Debtin october
2017
Outstandingamount inseptember
2017
Averageoriginal
maturity ofoutstanding
amount
Averageresidual
maturity ofoutstanding
amount
Averageoriginal
maturity ofissues
GBP 217,0 25,0 -65,0 257,0 187 98 31USD 449,5 171,0 -15,0 273,5 231 126 70
Equivalent_EUR 4 352,74 3 426,39 -1 176,28 2 691,27 154 86 83
SOCRAM BANQUE EUR 105,0 0,0 -10,0 115,0 364 65 0
UNIFERGIE - Union pour le Financement des Economies d'Energie EUR 5,0 0,0 0,0 5,0 363 148 0
Total Residents Equivalent_EUR 146 774,7 49 653,9 -42 835,1 143 597,8 300 160 119of which secured Commercial Paper 8 215,1 737,8 - 2 245,0 9 731,2
- Non residents located in Euro area (excluding France) amounts in millions, maturity in number of days
Issuer Issue currencyOutstandingamount in
october 2017
Issueamount inoctober
2017
Matured Debtin october
2017
Outstandingamount inseptember
2017
Averageoriginal
maturity ofoutstanding
amount
Averageresidual
maturity ofoutstanding
amount
Averageoriginal
maturity ofissues
ABN AMRO BANK NV USD 250,0 0,0 0,0 250,0 364 6 0Equivalent_EUR 214,81 0 0 211,76 364 6
ACHMEA BANK N.V. EUR 365,0 50,0 -50,0 365,0 261 132 231
BANCO BILBAO VIZCAYA ARGENTARIA SA succursale Paris EUR 2 679,7 20,0 -245,0 2 904,7 362 55 364GBP 75,0 0,0 0,0 75,0 188 1 0USD 20,0 10,0 -18,0 28,0 137 113 92
Equivalent_EUR 2 782,21 28,59 -260,47 3 013,42 355 54 282
COOPERATIEVE RABOBANK U.A. (RABOBANK) EUR 2 364,7 317,0 -997,0 3 044,7 348 98 314
DE VOLKSBANK N.V. EUR 227,0 10,0 -10,0 227,0 275 134 182
ING BANK NV EUR 1 634,5 0,0 -20,0 1 654,5 368 71 0USD 150,0 0,0 -150,0 300,0 365 7 0
Equivalent_EUR 1 763,39 0 -148,89 1 908,61 368 66
INTESA SANPAOLO S.p. A. London Branch EUR 756,5 35,0 0,0 721,5 326 187 92USD 30,0 15,0 -60,0 75,0 178 146 92
Equivalent_EUR 782,28 47,89 -51,56 785,03 321 186 92
LANDESBANK BADEN-WURTTEMBERG EUR 1 177,3 0,0 -50,0 1 227,3 378 124 0
Monthly Overview produced on 07/11/2017Source : Banque de France - STCNContact : [email protected] 18
COMMERCIAL PAPER
II.2.1 Bank issuers
- Non residents located in Euro area (excluding France) amounts in millions, maturity in number of days
Issuer Issue currencyOutstandingamount in
october 2017
Issueamount inoctober
2017
Matured Debtin october
2017
Outstandingamount inseptember
2017
Averageoriginal
maturity ofoutstanding
amount
Averageresidual
maturity ofoutstanding
amount
Averageoriginal
maturity ofissues
LANDESBANK HESSEN-THURINGEN GIROZENTRALE EUR 215,0 0,0 0,0 215,0 358 75 0
MEDIOBANCA INTERNATIONAL (LUXEMBOURG) S.A. EUR 922,0 10,0 0,0 912,0 365 166 364
NORDDEUTSCHE LANDESBANK GIROZENTRALE EUR 220,0 150,0 0,0 70,0 364 276 364GBP 10,0 0,0 0,0 30,0 904 211 0USD 20,0 0,0 0,0 20,0 364 253 0
Equivalent_EUR 248,57 150 0 120,96 389 272 364
UNICREDIT BANK AG London Branch EUR 570,0 175,0 0,0 395,0 365 327 365
UNICREDIT S.p..A. London Branch EUR 6 116,9 589,5 -119,0 6 026,4 364 162 336
Total Non residents located in Euro area (excluding France) Equivalent_EUR 17 749,1 1 378,0 -1 686,9 18 452,1 357 129 323
- Non residents located outside the Euro area amounts in millions, maturity in number of days
Issuer Issue currencyOutstandingamount in
october 2017
Issueamount inoctober
2017
Matured Debtin october
2017
Outstandingamount inseptember
2017
Averageoriginal
maturity ofoutstanding
amount
Averageresidual
maturity ofoutstanding
amount
Averageoriginal
maturity ofissues
ABBEY NATIONAL TREASURY SERVICES PLC USD 0,0 0,0 -315,0 315,0 0 0 0Equivalent_EUR 0 0 -270,66 266,81
BANK OF CHINA LIMITED Paris Branch EUR 1 050,0 359,0 -177,0 868,0 118 40 60GBP 1 720,0 1 175,0 -1 077,2 1 622,2 87 43 65USD 1 555,3 455,3 -729,5 1 829,5 134 70 90
Equivalent_EUR 4 344,17 2 087,64 -2 029,97 4 257,33 109 51 69
BANQUE CALEDONIENNE D INVESTISSEMENT EUR 48,0 12,0 0,0 36,0 351 255 309USD 60,0 0,0 -7,0 67,0 182 73 0
Equivalent_EUR 99,56 12 -6,01 92,75 264 161 309
BARCLAYS BANK PLC succursale en France EUR 16 604,8 210,0 -246,0 16 890,3 367 150 355
DANSKE BANK A/S EUR 222,0 47,0 -50,0 225,0 196 70 81GBP 100,0 0,0 0,0 100,0 183 43 0USD 12,0 0,0 0,0 12,0 91 41 0
Equivalent_EUR 346,14 47 -50 348,57 189 60 81
Monthly Overview produced on 07/11/2017Source : Banque de France - STCNContact : [email protected] 19
COMMERCIAL PAPER
II.2.1 Bank issuers
- Non residents located outside the Euro area amounts in millions, maturity in number of days
Issuer Issue currencyOutstandingamount in
october 2017
Issueamount inoctober
2017
Matured Debtin october
2017
Outstandingamount inseptember
2017
Averageoriginal
maturity ofoutstanding
amount
Averageresidual
maturity ofoutstanding
amount
Averageoriginal
maturity ofissues
INDUSTRIAL & COMMERCIAL BANK OF CHINA Ltd LuxembourgBranch EUR 721,0 58,0 -10,0 673,0 108 46 90
USD 283,0 137,0 -19,0 165,0 149 63 113
Equivalent_EUR 964,17 175,72 -26,33 812,76 118 51 105
JYSKE BANK A/S EUR 2 318,0 488,0 -488,0 2 368,0 348 172 355USD 105,5 41,5 -89,0 153,0 130 84 92
Equivalent_EUR 2 408,65 523,66 -564,47 2 497,6 340 169 337
LLOYDS BANK PLC EUR 3 154,5 250,0 0,0 2 909,5 365 206 364
MIZUHO BANK LTD Paris Branch EUR 100,0 0,0 0,0 100,0 321 43 0USD 1,3 40,3 -40,3 1,3 166 74 12
Equivalent_EUR 101,12 34,63 -34,63 101,1 319 43 12
NORDEA BANK AB (PUBL) EUR 285,0 10,0 -10,0 285,0 281 147 273NOK 1 000,0 0,0 0,0 1 000,0 91 41 0SEK 15 000,0 0,0 -120,0 15 120,0 122 79 0USD 10,0 0,0 0,0 10,0 92 21 0
Equivalent_EUR 1 938,34 10 -22,32 1 966,75 144 87 273
SUMITOMO MITSUI BANKING CORPORATION EUROPELIMITED succursale de Paris EUR 217,4 120,0 -70,0 167,4 91 48 92
GBP 152,0 0,0 -60,0 212,0 99 31 0
Equivalent_EUR 390,42 120 -138,3 407,82 95 41 92
SVENSKA HANDELSBANKEN AB EUR 3 338,0 409,0 -411,5 3 340,5 273 190 213
UBS AG London Branch EUR 9 346,0 1 491,0 0,0 7 855,0 364 240 364
Total Non residents located outside the Euro area Equivalent_EUR 43 035,9 5 370,6 -3 800,2 41 746,8 312 161 215
Monthly Overview produced on 07/11/2017Source : Banque de France - STCNContact : [email protected] 20
COMMERCIAL PAPER
II.2.2 Others financial issuers excluding asset backed securities issuers
- Residents amounts EUR millions, maturity in number of days
Issuer Issue currency
Outstandingamount inoctober
2017
Issue amountin october
2017
Matured Debtin october
2017
Outstandingamount inseptember
2017
Averageoriginal
maturity ofoutstanding
amount
Averageresidual
maturity ofoutstanding
amount
Averageoriginal
maturity ofissues
COFACE SA EUR 580,0 100,0 -60,0 540,0 152 84 114
Total Residents Equivalent_EUR 580,0 100,0 -60,0 540,0 152 84 114
Monthly Overview produced on 07/11/2017Source : Banque de France - STCNContact : [email protected] 21
COMMERCIAL PAPER
II.2.3 Others financial issuers
- Residents amounts EUR millions, maturity in number of days
Issuer Issue currencyOutstandingamount in
october 2017
Issueamount inoctober
2017
Matured Debtin october
2017
Outstandingamount inseptember
2017
Averageoriginal
maturity ofoutstanding
amount
Averageresidual
maturity ofoutstanding
amount
Averageoriginal
maturity ofissues
ANTALIS S.A. EUR 2 231,8 1 376,8 -1 499,3 2 354,3 81 52 64
LMA S.A. EUR 1 607,5 2 864,5 -2 500,5 1 243,5 257 165 52
MAnaGed and ENhanced Tap (MAGENTA) Funding S.T. EUR 30,0 0,0 -0,3 30,3 91 31 0
Total Residents Equivalent_EUR 3 869,3 4 241,3 -4 000,1 3 628,1 154 99 56
- Non residents located in Euro area (excluding France) amounts EUR millions, maturity in number of days
Issuer Issue currencyOutstandingamount in
october 2017
Issueamount inoctober
2017
Matured Debtin october
2017
Outstandingamount inseptember
2017
Averageoriginal
maturity ofoutstanding
amount
Averageresidual
maturity ofoutstanding
amount
Averageoriginal
maturity ofissues
MATCHPOINT FINANCE PLC EUR 1 360,0 177,6 -177,6 1 360,0 200 77 153
Total Non residents located in Euro area (excluding France) Equivalent_EUR 1 360,0 177,6 -177,6 1 360,0 200 77 153
- Non residents located outside the Euro area amounts EUR millions, maturity in number of days
Issuer Issue currencyOutstandingamount in
october 2017
Issueamount inoctober
2017
Matured Debtin october
2017
Outstandingamount inseptember
2017
Averageoriginal
maturity ofoutstanding
amount
Averageresidual
maturity ofoutstanding
amount
Averageoriginal
maturity ofissues
GENERAL FUNDING LIMITED EUR 182,8 182,8 -179,7 179,7 31 20 31
Total Non residents located outside the Euro area Equivalent_EUR 182,8 182,8 -179,7 179,7 31 20 31
Monthly Overview produced on 07/11/2017Source : Banque de France - STCNContact : [email protected] 22
COMMERCIAL PAPER
II.2.4 Non financial issuers
- Residents amounts EUR millions, maturity in number of days
Issuer Issue currency
Outstandingamount inoctober
2017
Issue amountin october
2017
Matured Debtin october
2017
Outstandingamount inseptember
2017
Averageoriginal
maturity ofoutstanding
amount
Averageresidual
maturity ofoutstanding
amount
Averageoriginal
maturity ofissues
AGRIAL FINANCES EUR 150,0 85,0 -80,0 145,0 92 66 101
AIR LIQUIDE FINANCE EUR 325,0 0,0 -50,0 375,0 152 39 0
AKKA TECHNOLOGIES EUR 18,0 63,3 -175,6 130,3 92 8 20
ALTAREA EUR 355,1 57,2 -75,2 373,1 283 152 297
ALTAREIT EUR 436,6 43,7 -41,0 433,9 241 138 198
ALTRAN TECHNOLOGIES EUR 500,0 54,0 -54,0 500,0 294 136 42
ANF IMMOBILIER EUR 51,0 29,0 -29,0 51,0 86 29 42
APRR EUR 130,0 10,0 -50,0 170,0 298 82 92
ARKEMA EUR 725,0 940,0 -215,0 0,0 31 10 30USD 124,0 124,0 0,0 0,0 40 14 40
Equivalent_EUR 831,55 1 046,55 -215 32 10 31
ATOS SE EUR 1 009,5 799,5 -690,0 900,0 125 99 92
AUCHAN HOLDING EUR 380,0 80,0 -50,0 350,0 121 36 64USD 60,0 50,0 -112,0 122,0 90 68 95
Equivalent_EUR 431,56 122,96 -146,24 453,34 117 40 75
BIOMERIEUX EUR 40,0 0,0 0,0 40,0 91 43 0
BOLLORE EUR 120,0 120,0 -120,0 120,0 31 16 31
BOUYGUES EUR 700,0 700,0 0,0 0,0 20 3 21
BUREAU VERITAS EUR 50,0 110,0 -110,0 50,0 30 30 24
CAPGEMINI SE EUR 400,0 150,0 0,0 250,0 72 51 59
CARREFOUR EUR 0,0 645,0 -1 040,0 395,0 0 0 6USD 0,0 100,0 -100,0 0,0 0 0 7
Equivalent_EUR 0 730,93 -1 125,93 395 6Monthly Overview produced on 07/11/2017
Source : Banque de France - STCNContact : [email protected] 23
COMMERCIAL PAPER
II.2.4 Non financial issuers
- Residents amounts EUR millions, maturity in number of days
Issuer Issue currency
Outstandingamount inoctober
2017
Issue amountin october
2017
Matured Debtin october
2017
Outstandingamount inseptember
2017
Averageoriginal
maturity ofoutstanding
amount
Averageresidual
maturity ofoutstanding
amount
Averageoriginal
maturity ofissues
CASINO GUICHARD-PERRACHON EUR 1 107,5 296,0 -467,8 1 279,3 155 59 82
COMPAGNIE DE SAINT-GOBAIN EUR 700,0 550,0 -625,0 775,0 66 11 34
COMPAGNIE GENERALE DES ETABLISSEMENTS MICHELIN EUR 287,5 300,0 -349,0 336,5 46 23 27GBP 35,0 25,0 -15,0 25,0 93 74 94USD 23,0 23,0 -38,0 38,0 59 43 59
Equivalent_EUR 347,1 348,22 -398,73 397,04 52 30 34
DANONE EUR 986,5 180,0 -485,0 1 291,5 154 72 92USD 101,0 0,0 -40,0 141,0 117 51 0
Equivalent_EUR 1 073,28 180 -519,37 1 410,93 151 71 92
DECATHLON SA EUR 345,0 345,0 -250,0 250,0 28 21 28
EIFFAGE EUR 226,0 0,0 -30,0 256,0 332 97 0
ELECTRICITE DE FRANCE (E.D.F.) EUR 2 250,0 300,0 -475,0 2 425,0 149 72 11
ELIS EUR 396,4 47,0 -47,0 396,4 297 164 299
ENGIE EUR 3 592,5 465,0 -650,5 3 778,0 233 108 242
ERAMET SA EUR 221,7 153,2 -26,5 95,0 139 90 120
ESSILOR INTERNATIONAL (COMPAGNIE GENERALE D'OPTIQUE) EUR 220,0 120,0 0,0 100,0 135 52 18USD 125,0 125,0 0,0 0,0 17 13 17
Equivalent_EUR 327,41 227,41 0 100 96 39 18
FAURECIA EUR 260,0 245,0 -203,5 218,5 151 133 154
FINANCIERE AGACHE EUR 938,5 587,0 -478,5 830,0 106 71 115
FINANCIERE DE L'ODET EUR 56,9 35,0 -25,0 46,9 82 46 75
F. MARC DE LACHARRIERE (FIMALAC) EUR 340,5 115,0 -120,0 345,5 147 69 88
FONCIERE DE PARIS (SIIC) EUR 0,0 0,0 -20,0 20,0 0 0 0
Monthly Overview produced on 07/11/2017Source : Banque de France - STCNContact : [email protected] 24
COMMERCIAL PAPER
II.2.4 Non financial issuers
- Residents amounts EUR millions, maturity in number of days
Issuer Issue currency
Outstandingamount inoctober
2017
Issue amountin october
2017
Matured Debtin october
2017
Outstandingamount inseptember
2017
Averageoriginal
maturity ofoutstanding
amount
Averageresidual
maturity ofoutstanding
amount
Averageoriginal
maturity ofissues
FONCIERE DES REGIONS EUR 997,4 268,4 -268,4 997,4 161 89 181
FROMAGERIES BEL SA EUR 40,0 0,0 0,0 40,0 92 49 0
GECINA EUR 1 294,0 524,0 -115,0 885,0 181 117 136
HAVAS EUR 0,0 307,0 -351,0 44,0 0 0 29
ICADE EUR 890,0 313,5 -313,5 890,0 197 133 173
ILIAD EUR 405,0 130,0 -249,5 524,5 144 97 138
IMERYS EUR 429,0 0,0 -70,0 499,0 263 148 0
INGENICO GROUP EUR 435,0 0,0 0,0 435,0 312 191 0
IPSEN SA EUR 435,0 285,0 -125,0 275,0 68 23 38
KERING FINANCE EUR 120,0 135,0 -135,0 120,0 30 18 28
KLEPIERRE EUR 1 443,1 128,0 -112,0 1 427,1 295 160 224USD 60,0 0,0 -20,0 80,0 139 86 0
Equivalent_EUR 1 494,66 128 -129,19 1 494,86 290 157 224
KORIAN EUR 130,0 130,0 0,0 0,0 31 30 31
LAGARDERE SCA EUR 558,6 437,6 -427,6 548,6 41 23 38
LA POSTE EUR 200,0 0,0 0,0 200,0 160 48 0
LEGRAND FRANCE EUR 165,0 20,0 -310,0 455,0 176 57 26
LE NOBLE AGE EUR 120,0 31,5 -31,5 120,0 169 87 131
LISI S.A. EUR 125,0 40,0 -40,0 125,0 106 53 101
L'OREAL EUR 400,0 400,0 -400,0 400,0 30 19 31
Monthly Overview produced on 07/11/2017Source : Banque de France - STCNContact : [email protected] 25
COMMERCIAL PAPER
II.2.4 Non financial issuers
- Residents amounts EUR millions, maturity in number of days
Issuer Issue currency
Outstandingamount inoctober
2017
Issue amountin october
2017
Matured Debtin october
2017
Outstandingamount inseptember
2017
Averageoriginal
maturity ofoutstanding
amount
Averageresidual
maturity ofoutstanding
amount
Averageoriginal
maturity ofissues
MERCIALYS EUR 271,5 124,0 -124,0 271,5 90 41 88
MERSEN EUR 37,0 21,0 -31,0 47,0 61 33 61
NEOPOST SA EUR 35,0 15,0 -15,0 35,0 86 57 93
NGE EUR 46,0 37,0 -38,0 47,0 61 36 61
ORANGE EUR 970,8 717,8 -767,8 1 020,8 39 25 31USD 0,0 0,0 -31,0 31,0 0 0 0
Equivalent_EUR 970,8 717,8 -794,44 1 047,06 39 25 31
PERNOD RICARD FINANCE S.A. EUR 712,0 252,0 -297,0 757,0 129 68 70USD 43,0 33,0 -53,0 63,0 46 24 32
Equivalent_EUR 748,95 280,36 -342,54 810,36 125 66 66
RALLYE EUR 635,7 365,3 -337,6 608,0 123 61 79
R.A.T.P. (REGIE AUTONOME DES TRANSPORTS PARISIENS) EUR 752,0 322,0 -202,0 632,0 110 66 88GBP 25,0 0,0 0,0 25,0 92 29 0USD 425,0 225,0 -175,0 375,0 140 92 112
Equivalent_EUR 1 145,64 515,33 -352,37 977,99 119 74 97
RECTICEL EUR 82,4 60,0 -19,0 41,4 55 24 41
RENAULT S.A. EUR 1 219,0 315,0 -397,0 1 301,0 142 70 133USD 50,0 40,0 -133,0 143,0 68 52 63
Equivalent_EUR 1 261,96 349,37 -511,28 1 422,13 139 70 126
REXEL EUR 171,7 0,0 -5,0 176,7 159 42 0
ROQUETTE FRERES EUR 284,8 160,0 -153,0 277,8 76 45 66USD 11,0 11,0 -26,0 26,0 32 24 32
Equivalent_EUR 294,25 169,45 -175,34 299,82 75 44 64
RTE RESEAU DE TRANSPORT D'ELECTRICITE EUR 505,0 453,5 -385,5 437,0 40 14 23
SAFRAN EUR 1 218,7 356,2 -356,9 1 219,4 266 64 32
SAVENCIA SA EUR 598,5 152,5 -165,5 611,5 98 44 77
Monthly Overview produced on 07/11/2017Source : Banque de France - STCNContact : [email protected] 26
COMMERCIAL PAPER
II.2.4 Non financial issuers
- Residents amounts EUR millions, maturity in number of days
Issuer Issue currency
Outstandingamount inoctober
2017
Issue amountin october
2017
Matured Debtin october
2017
Outstandingamount inseptember
2017
Averageoriginal
maturity ofoutstanding
amount
Averageresidual
maturity ofoutstanding
amount
Averageoriginal
maturity ofissues
SCHNEIDER ELECTRIC SE EUR 920,0 820,0 -495,0 595,0 42 29 36USD 65,0 40,0 -40,0 65,0 74 46 63
Equivalent_EUR 975,85 854,37 -529,37 650,06 44 30 37
SEB S.A. EUR 489,0 141,0 -256,0 604,0 290 97 106
SFR GROUP EUR 427,1 390,0 -633,2 670,3 84 30 35
SNCF MOBILITES USD 142,0 142,0 -186,0 186,0 75 68 75Equivalent_EUR 122,01 122,01 -159,82 157,55 75 68 75
SOCIETE D'ECONOMIE MIXTE DE CONSTRUCTION DU DEPARTEMENT DEL'AIN (SEMCODA) EUR 100,0 160,0 -160,0 100,0 89 82 59
SOCIETE D'ETUDE DE MAITRISE D'OUVRAGE ET D'AMENAGEMENTPARISIENNE EUR 160,0 55,0 -55,0 160,0 101 38 44
SODEXO EUR 80,0 80,0 -110,0 110,0 31 16 31USD 235,0 145,0 -175,0 265,0 43 17 32
Equivalent_EUR 281,92 204,59 -260,37 334,46 40 17 32
SOPRA STERIA GROUP EUR 516,1 124,0 -91,5 483,6 210 79 46
STEF EUR 201,5 104,0 -104,0 201,5 88 52 83
SUEZ EUR 660,0 100,0 -150,0 710,0 107 73 114
TECHNIP EUROCASH SNC EUR 698,0 410,0 -40,0 328,0 68 25 60
TELEPERFORMANCE SE EUR 185,0 185,0 -225,0 225,0 30 16 30
UBISOFT ENTERTAINMENT EUR 126,0 95,0 -35,0 66,0 95 70 93
UNIBAIL- RODAMCO SE EUR 644,5 170,0 -812,0 1 286,5 210 55 84
UNION FINANCES GRAINS EUR 431,4 278,7 -250,6 403,3 64 39 58
VALEO EUR 916,9 150,0 -265,0 1 031,9 190 126 64
Monthly Overview produced on 07/11/2017Source : Banque de France - STCNContact : [email protected] 27
COMMERCIAL PAPER
II.2.4 Non financial issuers
- Residents amounts EUR millions, maturity in number of days
Issuer Issue currency
Outstandingamount inoctober
2017
Issue amountin october
2017
Matured Debtin october
2017
Outstandingamount inseptember
2017
Averageoriginal
maturity ofoutstanding
amount
Averageresidual
maturity ofoutstanding
amount
Averageoriginal
maturity ofissues
VALLOUREC EUR 496,4 86,0 -171,0 581,4 152 75 112USD 10,0 0,0 -10,0 20,0 181 149 0
Equivalent_EUR 504,96 86 -179,59 598,31 153 77 112
VEOLIA ENVIRONNEMENT EUR 3 419,5 854,5 -640,5 3 205,5 161 70 101USD 80,0 15,0 -30,0 95,0 85 24 31
Equivalent_EUR 3 488,24 867,39 -666,28 3 285,97 160 69 99
VICAT EUR 457,0 142,0 -169,0 484,0 206 102 105
VILOGIA SA HLM EUR 200,0 70,0 -70,0 200,0 117 60 77
VINCI EUR 897,5 897,5 -1 350,0 1 350,0 31 15 31USD 300,0 290,0 -174,0 184,0 45 30 43
Equivalent_EUR 1 155,28 1 146,68 -1 499,51 1 505,85 34 18 33
VIVENDI EUR 277,9 200,0 -320,0 397,9 48 19 32
ZODIAC AEROSPACE EUR 754,0 153,0 -108,0 709,0 319 191 306
Total Residents Equivalent_EUR 47 765,5 20 991,5 - 20 957,2 47 708,5 150 74 69
Monthly Overview produced on 07/11/2017Source : Banque de France - STCNContact : [email protected] 28
COMMERCIAL PAPER
II.2.4 Non financial issuers
- Non residents located in Euro area (excluding France) amounts EUR millions, maturity in number of days
Issuer Issue currency
Outstandingamount inoctober
2017
Issue amountin october
2017
Matured Debtin october
2017
Outstandingamount inseptember
2017
Averageoriginal
maturity ofoutstanding
amount
Averageresidual
maturity ofoutstanding
amount
Averageoriginal
maturity ofissues
ACS, Actividades de Construccion y Servicios, SA EUR 95,0 96,0 -1,0 0,0 158 148 156
ADECCO INTERNATIONAL FINANCIAL SERVICES BV EUR 0,0 0,0 -44,0 44,0 0 0 0
ARCELORMITTAL EUR 743,7 201,2 -243,6 786,1 178 88 114GBP 30,0 30,0 -30,0 30,0 72 59 72USD 155,0 92,5 -82,5 145,0 112 72 88
Equivalent_EUR 911,03 314,83 -348,59 942,89 164 85 103
BMW FINANCE N.V. EUR 0,0 0,0 -100,0 100,0 0 0 0
ECONOCOM GROUP SA/NV EUR 281,5 105,0 -73,0 249,5 115 65 60
EUROFINS SCIENTIFIC S.E. EUR 320,0 320,0 -1,0 1,0 99 87 99
GEMALTO N.V. EUR 360,0 75,0 -55,0 340,0 245 118 279
GRANDVISION FINANCE B.V. EUR 420,0 290,0 -290,0 420,0 57 29 42
HOLCIM FINANCE (BELGIUM) S.A. EUR 286,5 0,0 -194,5 481,0 185 5 0
LOUIS DREYFUS COMPANY B.V. EUR 184,0 8,5 -6,0 181,5 217 105 227USD 18,0 18,0 -13,0 13,0 33 14 33
Equivalent_EUR 199,47 23,97 -17,17 192,51 203 98 102
Total Non residents located in Euro area (excluding France) Equivalent_EUR 2 873,5 1 224,8 - 1 124,3 2 770,9 151 74 99
- Non residents located outside the Euro area amounts EUR millions, maturity in number of days
Issuer Issue currency
Outstandingamount inoctober
2017
Issue amountin october
2017
Matured Debtin october
2017
Outstandingamount inseptember
2017
Averageoriginal
maturity ofoutstanding
amount
Averageresidual
maturity ofoutstanding
amount
Averageoriginal
maturity ofissues
WHIRLPOOL CORPORATION EUR 500,0 500,0 -300,0 300,0 31 30 31
Total Non residents located outside the Euro area Equivalent_EUR 500,0 500,0 - 300,0 300,0 31 30 31
Monthly Overview produced on 07/11/2017Source : Banque de France - STCNContact : [email protected] 29
COMMERCIAL PAPER
II.2.5 Public issuers
- Residents amounts EUR millions, maturity in number of days
Issuer Issue currencyOutstandingamount in
october 2017
Issue amountin october 2017
Matured Debtin october
2017
Outstandingamount inseptember
2017
Averageoriginal
maturity ofoutstanding
amount
Averageresidual
maturity ofoutstanding
amount
Averageoriginal
maturity ofissues
ACOSS (Agence Centrale des Organismes de SecuriteSociale) EUR 5 725,0 17 854,5 -16 827,5 4 698,0 39 24 16
ASSISTANCE PUBLIQUE - HOPITAUX DE PARIS EUR 300,0 140,0 -140,0 300,0 126 56 54
DEPARTEMENT DE LA MEUSE EUR 0,0 6,0 -6,0 0,0 18
DEPARTEMENT DE L'ESSONNE EUR 90,0 90,0 -90,0 90,0 31 20 31
DEPARTEMENT DE L' EURE EUR 20,0 0,0 0,0 20,0 42 10
DEPARTEMENT DU PUY DE DOME EUR 6,0 6,0 0,0 0,0 20 20 20
DEPARTEMENT DU VAL D'OISE EUR 100,0 100,0 -100,0 100,0 58 52 58
GRENOBLE-ALPES METROPOLE EUR 19,0 19,0 -21,0 21,0 35 7 35
HOSPICES CIVILS DE LYON EUR 25,0 25,0 -25,0 25,0 25 20 25
REGION BRETAGNE EUR 110,0 110,0 -110,0 110,0 30 18 30
REGION CENTRE - VAL DE LOIRE EUR 30,0 30,0 -30,0 30,0 28 21 28
REGION DES PAYS DE LA LOIRE EUR 150,0 150,0 -150,0 150,0 32 17 32
REGION ILE-DE-FRANCE EUR 500,0 0,0 0,0 500,0 214 87
REGION PROVENCE ALPES COTE D'AZUR EUR 300,0 300,0 -300,0 300,0 31 20 31
SAGESS (SOCIETE ANONYME DE GESTION DE STOCKSDE SECURITE) EUR 275,0 275,0 -245,0 245,0 26 15 26
UNEDIC EUR 3 300,0 290,0 -540,0 3 550,0 326 135 233
Monthly Overview produced on 07/11/2017Source : Banque de France - STCNContact : [email protected] 30
COMMERCIAL PAPER
II.2.5 Public issuers
- Residents amounts EUR millions, maturity in number of days
Issuer Issue currencyOutstandingamount in
october 2017
Issue amountin october 2017
Matured Debtin october
2017
Outstandingamount inseptember
2017
Averageoriginal
maturity ofoutstanding
amount
Averageresidual
maturity ofoutstanding
amount
Averageoriginal
maturity ofissues
VILLE DE MARSEILLE EUR 50,0 0,0 0,0 50,0 85 52
Total Residents Equivalent_EUR 11 000,0 19 395,5 - 18 584,5 10 189,0 135 61 21
Monthly Overview produced on 07/11/2017Source : Banque de France - STCNContact : [email protected] 31
MEDIUM TERM NOTES
III. Medium Term Notes in october 2017
III.1. Overview
III.1.1. Breakdown of outstanding amounts and issues by issue's currency (by issuers category)
III.1.2. Breakdown of outstanding amounts and issues by rating (by issuers category) III.1.3. Breakdown of outstanding amounts and issues by maturity (by issuers category) III.1.4. Breakdown of outstanding amounts and issues by interest rate category (by issuers category)
III.2. List of issuers of Medium Term Notes at 31/10/2017 : outstanding amounts and transactions by issuers category and by geographical area
MEDIUM TERM NOTES
III.1. Overview
III.1.1. Breakdown of outstanding amounts and issues by issue's currency (by issuers category)
millions of units
Outstandingamount in
october 2017
Issue amountin october
2017
Matured Debtin october 2017
Outstandingamount in
september 2017
Number ofissuers in
october 2017
Bank issuersEUR 47 093,6 2 360,5 - 322,0 45 301,6 19USD 61,7 8,4 0,0 53,3 1
EUR Equivalent 47 146,6 2 367,7 - 322,0 45 346,7
Others financial issuers Excluding asset backed securities issuers
EUR 100,0 0,0 0,0 100,0 0USD 100,0 0,0 0,0 100,0 0
EUR Equivalent 185,9 0,0 0,0 184,7
Asset backed securities issuersEUR 380,1 0,0 0,0 380,1 0
EUR Equivalent 380,1 0,0 0,0 380,1
Total financial issuers (a) 47 712,7 2 367,7 - 322,0 45 911,5
Monthly Review produced on 07/11/2017 Source : Banque de France - STCNContact : [email protected] 2
MEDIUM TERM NOTES
III.1.1 Breakdown of outstanding amounts and issues by issue's currency (by issuers category) - next
millions of units
Outstandingamount in
october 2017
Issue amountin october
2017
Matured Debtin october
2017
Outstandingamount inseptember
2017
Number ofissuers in
october 2017
Non financial issuersEUR 257,5 47,0 - 47,0 257,5 1
EUR Equivalent 257,5 47,0 - 47,0 257,5
Public issuersEUR 4 964,0 0,0 0,0 4 964,0 0
EUR Equivalent 4 964,0 0,0 0,0 4 964,0
Total non-financial and public issuers (b) 5 221,5 47,0 - 47,0 5 221,5
Total medium-term market (a)+(b) 52 934,2 2 414,7 - 369,0 51 133,0
Monthly Review produced on 07/11/2017 Source : Banque de France - STCNContact : [email protected] 3
MEDIUM TERM NOTES
III.1.2. Breakdown of outstanding amounts and issues by rating* (by issuers category)
millions of units
Outstandingamount in
october 2017
Issue amountin october
2017
Matured Debtin october 2017
Outstandingamount in
september 2017
Number ofissuers in
october 2017
Bank issuers 47 146,6 2 367,7 - 322,0 45 346,7 19 Class 1 150,0 0,0 0,0 150,0 0 Class 2 1 624,7 10,0 - 5,0 1 619,4 1 Class 3 36 627,5 1 997,3 - 293,6 35 018,7 9 Class 4 2 189,2 145,0 0,0 2 088,2 2 Unrated 6 555,3 215,4 - 23,4 6 470,3 7
Others financial issuers Excluding asset backed securities issuers 185,9 0,0 0,0 184,7 0
Unrated 185,9 0,0 0,0 184,7 0
Asset backed securities issuers 380,1 0,0 0,0 380,1 0 Class 3 380,1 0,0 0,0 380,1 0
Total financial issuers (a) 47 712,7 2 367,7 - 322,0 45 911,5 19
* The rating classes are defined in the methodological note related to statistical reviews.
Monthly Review produced on 07/11/2017 Source : Banque de France - STCNContact : [email protected] 4
MEDIUM TERM NOTES
III.1.2. Breakdown of outstanding amounts and issues by rating* (by issuers category) - next
millions of units
Outstandingamount in
october 2017
Issue amountin october
2017
Matured Debtin october
2017
Outstandingamount in
september 2017
Number ofissuers in
october 2017
Non financial issuers 257,5 47,0 - 47,0 257,5 1Class 3 102,3 0,0 0,0 102,3 0Unrated 155,2 47,0 - 47,0 155,2 1
Public issuers 4 964,0 0,0 0,0 4 964,0 0Class 2 4 700,0 0,0 0,0 4 700,0 0Unrated 264,0 0,0 0,0 264,0 0
Total non-financial and public issuers (b) 5 221,5 47,0 - 47,0 5 221,5 1
Total medium-term market (a)+(b) 52 934,2 2 414,7 - 369,0 51 133,0 20
* The rating classes are defined in the methodological note related to statistical publications reviews.
Monthly Review produced on 07/11/2017 Source : Banque de France - STCNContact : [email protected] 5
MEDIUM TERM NOTES
III.1.3. Breakdown of outstanding amounts and issues by maturity (by issuers category)
Bank issuers
all currencies
Breakdown of outstanding amountsby original maturity and residual maturity at 31/10/2017 (in %)
Breakdown of issues by original maturity at 31/10/2017 (in %)
Monthly Review produced on 07/11/2017 Source : Banque de France - STCNContact : [email protected] 6
MEDIUM TERM NOTES
all currencies
Breakdown of outstanding amountsby original maturity and residual maturity at 31/10/2017 (in %)
Breakdown of issues by original maturity at 31/10/2017 (in %)
Excluding asset backed securities issuers
Asset backed securities issuers
No issue
No issue
Monthly Review produced on 07/11/2017 Source : Banque de France - STCNContact : [email protected] 7
MEDIUM TERM NOTES
all currencies
Breakdown of outstanding amountsby original maturity and residual maturity at 31/10/2017 (in %)
Breakdown of issues by original maturity at 31/10/2017 (in %)
Non financial issuers
Public issuers
No issue
Monthly Review produced on 07/11/2017 Source : Banque de France - STCNContact : [email protected] 8
MEDIUM TERM NOTES
III.1.4. Breakdown of outstanding amounts and issues by interest rate category (by issuers category)
Financialbankingissuers
Others financial issuersNon financial
issuersPublicissuersExcluding asset backed
securities issuersAsset backed securities
issuers
Fixed 1,2% 0,0% 0,0% 0,0% 0,0%
Structured 14,8% 0,0% 0,0% 0,0% 0,0%
Variable oradjustable 84,0% 0,0% 0,0% 100,0% 0,0%
All maturities 100,0% 0,0% 0,0% 100,0% 0,0%
Monthly Review produced on 07/11/2017 Source : Banque de France - STCNContact : [email protected] 9
MEDIUM TERM NOTES
III.2.1Bank issuers
- Residents amounts in millions, maturity in number of days
Issuer Issue currencyOutstandingamount in
october 2017
Issue amount inoctober 2017
Matured Debt inoctober 2017
Outstandingamount in
september 2017
Averageoriginal
maturity ofoutstanding
amount
Averageresidual
maturity ofoutstanding
amount
Averageoriginal
maturity ofissues
ALLIANZ BANQUE EUR 242,0 10,0 0,0 232,0 1 153 672 1 096
AXA BANQUE EUR 2 249,1 50,0 -22,0 2 221,1 2 348 1 530 730
AXA BANQUE FINANCEMENT EUR 70,0 0,0 0,0 70,0 782 403 0
BANQUE CIC EST EUR 0,0 0,0 0,0 0,3 0Equivalent_EUR 0,3
BANQUE CIC NORD OUEST EUR 19,9 0,2 0,0 19,7 1 910 1 424 3 652
BANQUE CIC OUEST EUR 4,7 0,0 0,0 4,7 4 971 1 512 0
BANQUE CIC SUD OUEST EUR 161,5 0,0 0,0 161,5 3 681 796 0
BANQUE DE SAVOIE EUR 0,5 0,0 0,0 0,5 1 826 176 0
BANQUE EDEL S.N.C EUR 328,1 63,2 0,0 264,9 690 412 573
BANQUE EUROPEENNE DU CREDIT MUTUEL EUR 9,3 0,0 0,0 9,3 2 936 568 0
III.2. List of issuers of Medium Term Notes at 31/10/2017 : outstanding amounts and transactions by issuerscategory and by geographical area
Monthly Review produced on 07/11/2017 Source : Banque de France - STCNContact : [email protected] 10
MEDIUM TERM NOTES
III.2.1Bank issuers
- Residents amounts in millions, maturity in number of days
Issuer Issue currencyOutstandingamount in
october 2017
Issue amount inoctober 2017
Matured Debt inoctober 2017
Outstandingamount in
september 2017
Averageoriginal
maturity ofoutstanding
amount
Averageresidual
maturity ofoutstanding
amount
Averageoriginal
maturity ofissues
BANQUE FEDERATIVE DU CREDIT MUTUEL EUR 2 197,2 25,0 0,0 2 172,2 739 480 729
BANQUE PALATINE EUR 16,2 0,0 -0,3 16,7 1 857 970 0
BANQUE POPULAIRE ALSACE LORRAINE CHAMPAGNE EUR 144,7 0,0 -6,7 153,5 3 710 1 021 0
BANQUE POPULAIRE AQUITAINE CENTRE ATLANTIQUE EUR 26,0 0,0 0,0 26,0 4 215 798 0
BANQUE POPULAIRE ATLANTIQUE EUR 5,7 0,0 0,0 5,7 2 053 1 301 0
BANQUE POPULAIRE AUVERGNE RHONE ALPES EUR 6,6 0,0 0,0 6,6 24 821 1 162 0
BANQUE POPULAIRE BOURGOGNE FRANCHE-COMTE EUR 79,5 0,0 0,0 79,5 3 954 1 064 0
BANQUE POPULAIRE DE L'OUEST EUR 126,4 4,1 -3,2 125,5 1 365 622 1 096
BANQUE POPULAIRE DU MASSIF CENTRAL EUR 32,7 0,0 0,0 32,7 4 506 871 0
BANQUE POPULAIRE DU NORD EUR 7,0 0,0 0,0 7,0 1 140 224 0
Monthly Review produced on 07/11/2017 Source : Banque de France - STCNContact : [email protected] 11
MEDIUM TERM NOTES
III.2.1Bank issuers
- Residents amounts in millions, maturity in number of days
Issuer Issue currencyOutstandingamount in
october 2017
Issue amount inoctober 2017
Matured Debt inoctober 2017
Outstandingamount in
september 2017
Averageoriginal
maturity ofoutstanding
amount
Averageresidual
maturity ofoutstanding
amount
Averageoriginal
maturity ofissues
BANQUE POPULAIRE DU SUD EUR 11,3 0,0 0,0 12,4 3 468 842 0
BANQUE POPULAIRE LOIRE ET LYONNAIS EUR 0,7 0,0 0,0 0,7 2 989 164 0
BANQUE POPULAIRE MEDITERRANEE EUR 105,4 0,0 -1,0 106,4 1 567 1 224 0
BANQUE POPULAIRE RIVES DE PARIS EUR 55,2 0,0 0,0 55,2 5 204 988 0
BANQUE POPULAIRE VAL DE FRANCE EUR 560,2 88,6 -0,2 473,0 1 671 809 686
BANQUE SOLFEA EUR 30,0 0,0 0,0 30,0 1 096 123 0
BANQUE TRANSATLANTIQUE EUR 1,0 0,0 0,0 1,0 3 651 1 200 0
BNP PARIBAS EUR 1 041,0 34,8 -65,6 1 072,0 2 892 792 3 561USD 11,4 8,4 0,0 3,0 1 698 1 558 1 826
Equivalent_EUR 1 050,8 42,04 -65,59 1 074,51 2 881 799 8 951
BPCE EUR 761,0 0,0 0,0 761,0 3 094 814 0
BPIFRANCE FINANCEMENT EUR 1 009,0 0,0 0,0 1 009,0 1 054 445 0
Monthly Review produced on 07/11/2017 Source : Banque de France - STCNContact : [email protected] 12
MEDIUM TERM NOTES
III.2.1Bank issuers
- Residents amounts in millions, maturity in number of days
Issuer Issue currencyOutstandingamount in
october 2017
Issue amount inoctober 2017
Matured Debt inoctober 2017
Outstandingamount in
september 2017
Averageoriginal
maturity ofoutstanding
amount
Averageresidual
maturity ofoutstanding
amount
Averageoriginal
maturity ofissues
BRED-BANQUE POPULAIRE EUR 89,0 0,0 -5,7 94,7 3 121 529 0USD 2,5 0,0 0,0 2,5 1 095 818 0
Equivalent_EUR 91,16 0 -5,71 96,84 3 073 536
BTP BANQUE EUR 23,6 0,0 0,0 23,6 1 836 845 0
CA CONSUMER FINANCE EUR 2 239,5 55,0 0,0 2 184,5 1 044 469 708
CAISSE CENTRALE DU CREDIT IMMOBILIER DE FRANCE - 3CIF EUR 80,0 0,0 0,0 80,0 6 209 1 536 0
CAISSE D'EPARGNE CEPAC EUR 0,0 0,0 0,0 100,0 0Equivalent_EUR 100
CAISSE D'EPARGNE ET DE PREVOYANCE DE MIDI-PYRENEES EUR 40,0 0,0 0,0 40,0 1 096 42 0
CAISSE D'EPARGNE ET DE PREVOYANCE LOIRE-CENTRE EUR 0,5 0,0 0,0 0,5 1 826 1 638 0
CAISSE DES DEPOTS ET CONSIGNATIONS EUR 301,5 0,0 0,0 301,5 7 629 6 337 0USD 20,0 0,0 0,0 20,0 10 957 10 705 0
Equivalent_EUR 318,69 0 0 318,44 7 809 6 572
CAISSE FEDERALE DU CIT MUT MAINE-ANJOU ET BASSE-NORMANDIE EUR 265,0 0,0 -2,5 267,5 2 197 1 312 0
CAISSE FEDERALE DU CREDIT MUTUEL NORD EUROPE EUR 199,0 0,0 0,0 199,0 3 747 811 0
Monthly Review produced on 07/11/2017 Source : Banque de France - STCNContact : [email protected] 13
MEDIUM TERM NOTES
III.2.1Bank issuers
- Residents amounts in millions, maturity in number of days
Issuer Issue currencyOutstandingamount in
october 2017
Issue amount inoctober 2017
Matured Debt inoctober 2017
Outstandingamount in
september 2017
Averageoriginal
maturity ofoutstanding
amount
Averageresidual
maturity ofoutstanding
amount
Averageoriginal
maturity ofissues
CAISSE FEDERALE DU CREDIT MUTUEL OCEAN EUR 328,8 20,0 -2,0 310,8 2 153 764 518
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL ALSACE VOSGES EUR 41,7 0,0 0,0 41,7 2 653 1 934 0
of which subordinated medium term notes 41,66 0 0 41,66
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL ATLANTIQUE VENDEE EUR 423,1 0,0 0,0 423,1 7 869 6 598 0
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL BRIE PICARDIE EUR 149,6 0,0 0,0 149,6 1 253 629 0
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL CENTRE-EST EUR 352,7 0,0 0,0 352,7 5 451 1 671 0
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL CENTRE LOIRE EUR 332,2 0,0 0,0 332,2 1 963 775 0
of which subordinated medium term notes 243,27 0 0 243,27
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL CHARENTE MARITIME DEUXSEVRES EUR 64,8 2,4 0,0 62,6 1 860 1 198 1 826
of which subordinated medium term notes 57,75 0 0 57,75
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL CHARENTE PERIGORD EUR 242,7 0,0 0,0 242,7 1 590 688 0
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL D'ALPES-PROVENCE EUR 276,0 0,0 0,0 276,0 6 940 1 724 0
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL D'AQUITAINE EUR 418,1 0,0 0,0 418,1 3 787 791 0
Monthly Review produced on 07/11/2017 Source : Banque de France - STCNContact : [email protected] 14
MEDIUM TERM NOTES
III.2.1Bank issuers
- Residents amounts in millions, maturity in number of days
Issuer Issue currencyOutstandingamount in
october 2017
Issue amount inoctober 2017
Matured Debt inoctober 2017
Outstandingamount in
september 2017
Averageoriginal
maturity ofoutstanding
amount
Averageresidual
maturity ofoutstanding
amount
Averageoriginal
maturity ofissues
of which subordinated medium term notes 34,05 0 0 34,05
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL DE CENTRE FRANCE EUR 115,2 0,0 -1,3 116,4 7 978 6 685 0
of which subordinated medium term notes 65,69 0 0 65,69
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL DE CHAMPAGNE-BOURGOGNE EUR 120,4 0,0 0,0 120,4 10 958 10 098 0
of which subordinated medium term notes 120,36 0 0 120,36
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL DE LA GUADELOUPE EUR 6,5 0,0 0,0 6,5 10 958 10 139 0
of which subordinated medium term notes 6 0 0 6
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL DE L'ANJOU ET DU MAINE EUR 275,2 0,0 0,0 275,2 8 024 7 350 0
of which subordinated medium term notes 162,5 0 0 162,5
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL DE NORMANDIE EUR 550,0 0,0 0,0 550,0 5 171 1 465 0
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL DE PARIS ET D'ILE DEFRANCE EUR 180,4 0,0 0,0 180,4 3 449 1 140 0
of which subordinated medium term notes 115,16 0 0 115,16
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL DES COTES-D'ARMOR EUR 525,4 0,0 0,0 525,4 5 979 3 528 0
of which subordinated medium term notes 55,14 0 0 55,14
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL DES SAVOIE EUR 243,1 0,0 0,0 243,1 5 405 4 521 0
of which subordinated medium term notes 200,43 0 0 200,43
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL DE TOURAINE ET DUPOITOU EUR 210,5 0,0 0,0 210,5 1 808 977 0
of which subordinated medium term notes 190,58 0 0 190,58
Monthly Review produced on 07/11/2017 Source : Banque de France - STCNContact : [email protected] 15
MEDIUM TERM NOTES
III.2.1Bank issuers
- Residents amounts in millions, maturity in number of days
Issuer Issue currencyOutstandingamount in
october 2017
Issue amount inoctober 2017
Matured Debt inoctober 2017
Outstandingamount in
september 2017
Averageoriginal
maturity ofoutstanding
amount
Averageresidual
maturity ofoutstanding
amount
Averageoriginal
maturity ofissues
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL D'ILLE ET VILAINE EUR 3,5 0,0 0,0 3,5 3 265 1 158 0
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL DU FINISTERE EUR 146,1 0,0 -0,4 146,5 9 296 8 301 0
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL DU LANGUEDOC EUR 56,1 0,0 0,0 56,1 10 958 10 104 0
of which subordinated medium term notes 56,11 0 0 56,11
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL DU MORBIHAN EUR 230,0 0,0 0,0 230,0 5 320 1 301 0
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL DU NORD EST EUR 693,2 0,0 0,0 693,2 2 717 893 0
of which subordinated medium term notes 193 0 0 193
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL FRANCHE-COMTE EUR 10,3 0,0 0,0 10,3 3 667 784 0
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL NORD DE FRANCE EUR 1 426,3 0,0 0,0 1 426,3 4 406 1 003 0
of which subordinated medium term notes 355 0 0 355
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL NORD MIDI PYRENEES EUR 77,9 0,0 0,0 77,9 10 958 10 092 0
of which subordinated medium term notes 77,93 0 0 77,93
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL NORMANDIE-SEINE EUR 260,8 0,0 0,0 260,8 645 396 0
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL PROVENCE COTE D'AZUR EUR 212,9 0,0 0,0 212,9 1 497 688 0
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL PYRENEES-GASCOGNE EUR 150,0 0,0 0,0 150,0 3 206 1 084 0
Monthly Review produced on 07/11/2017 Source : Banque de France - STCNContact : [email protected] 16
MEDIUM TERM NOTES
III.2.1Bank issuers
- Residents amounts in millions, maturity in number of days
Issuer Issue currencyOutstandingamount in
october 2017
Issue amount inoctober 2017
Matured Debt inoctober 2017
Outstandingamount in
september 2017
Averageoriginal
maturity ofoutstanding
amount
Averageresidual
maturity ofoutstanding
amount
Averageoriginal
maturity ofissues
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL SUD-MEDITERRANEE EUR 150,0 0,0 0,0 150,0 5 479 1 876 0
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL SUD-RHONE-ALPES EUR 225,6 0,0 0,0 229,4 2 493 1 063 0
of which subordinated medium term notes 195,57 0 0 199,44
CAISSE REGIONALE DE CREDIT AGRICOLE MUTUEL TOULOUSE 31 EUR 63,1 0,0 0,0 63,1 1 061 539 0
CARREFOUR BANQUE EUR 600,0 0,0 0,0 644,0 726 535 0
COMPAGNIE DE FINANCEMENT FONCIER EUR 150,0 0,0 0,0 150,0 5 478 858 0
C.R.C. MARITIME MUTUEL DE BRETAGNE-NORMANDIE EUR 5,5 0,0 0,0 5,5 1 597 533 0
CREDIT AGRICOLE CORPORATE AND INVESTMENT BANK EUR 1 124,0 0,0 0,0 1 130,0 3 819 1 522 0
CREDIT AGRICOLE S.A. EUR 152,7 0,0 0,0 152,7 5 148 1 286 0
CREDIT COOPERATIF EUR 572,6 0,0 -1,2 573,8 3 208 1 115 0
CREDIT DU NORD EUR 6 869,9 0,0 -53,6 6 957,7 1 415 532 0USD 0,9 0,0 0,0 0,9 1 308 192 0
Monthly Review produced on 07/11/2017 Source : Banque de France - STCNContact : [email protected] 17
MEDIUM TERM NOTES
III.2.1Bank issuers
- Residents amounts in millions, maturity in number of days
Issuer Issue currencyOutstandingamount in
october 2017
Issue amount inoctober 2017
Matured Debt inoctober 2017
Outstandingamount in
september 2017
Averageoriginal
maturity ofoutstanding
amount
Averageresidual
maturity ofoutstanding
amount
Averageoriginal
maturity ofissues
Equivalent_EUR 6 870,69 0 -53,58 6 958,48 1 415 532
CREDIT FONCIER ET COMMUNAL D' ALSACE ET DE LORRAINE - SCF EUR 30,0 0,0 0,0 30,0 3 653 896 0
CREDIT INDUSTRIEL ET COMMERCIAL EUR 1 216,5 0,0 0,0 1 216,5 693 468 0
CREDIT LYONNAIS EUR 3 108,1 60,0 -112,0 3 210,1 974 524 730
CREDIT MUNICIPAL DE PARIS EUR 55,0 0,0 -5,0 60,0 1 860 747 0
CREDIT MUTUEL ARKEA EUR 169,6 1,2 -2,0 170,4 4 186 1 507 3 652USD 1,9 0,0 0,0 1,9 1 096 262 0
Equivalent_EUR 171,27 1,2 -2 172,05 4 156 1 495 44 561
DEXIA CREDIT LOCAL EUR 80,0 0,0 0,0 80,0 5 612 836 0
DIAC SA EUR 65,0 0,0 0,0 65,0 731 541 0
EDMOND DE ROTHSCHILD (FRANCE) EUR 53,0 0,0 0,0 53,0 902 730 0
FRANFINANCE EUR 277,0 0,0 -35,0 312,0 639 104 0
HSBC FRANCE EUR 85,2 0,0 0,0 85,2 8 575 4 044 0
Monthly Review produced on 07/11/2017 Source : Banque de France - STCNContact : [email protected] 18
MEDIUM TERM NOTES
III.2.1Bank issuers
- Residents amounts in millions, maturity in number of days
Issuer Issue currencyOutstandingamount in
october 2017
Issue amount inoctober 2017
Matured Debt inoctober 2017
Outstandingamount in
september 2017
Averageoriginal
maturity ofoutstanding
amount
Averageresidual
maturity ofoutstanding
amount
Averageoriginal
maturity ofissues
LYONNAISE DE BANQUE EUR 0,0 0,0 0,0 0,3 0Equivalent_EUR 0,25
NATIXIS EUR 660,2 30,0 0,0 632,9 3 768 1 348 3 725
ONEY BANK EUR 290,0 100,0 0,0 190,0 699 435 730
ORANGE BANK EUR 177,8 10,0 0,0 167,8 1 547 678 729
PSA BANQUE FRANCE EUR 354,0 45,0 0,0 309,0 786 421 1 096
RCI BANQUE SA EUR 5,0 0,0 0,0 5,0 1 096 192 0
ROTHSCHILD MARTIN MAUREL EUR 1,5 0,0 0,0 1,5 1 095 835 0
SOCIETE GENERALE EUR 9 398,5 1 760,0 -2,5 7 641,0 1 583 784 847
SOCRAM BANQUE EUR 165,0 0,0 0,0 165,0 735 521 0
Total Residents Equivalent_EUR 46 798,8 2 367,9 -322,0 45 000,2 2 252 1 057 903
Monthly Review produced on 07/11/2017 Source : Banque de France - STCNContact : [email protected] 19
MEDIUM TERM NOTES
III.2.1Bank issuers
- Residents amounts in millions, maturity in number of days
Issuer Issue currencyOutstandingamount in
october 2017
Issue amount inoctober 2017
Matured Debt inoctober 2017
Outstandingamount in
september 2017
Averageoriginal
maturity ofoutstanding
amount
Averageresidual
maturity ofoutstanding
amount
Averageoriginal
maturity ofissues
of which subordinated medium term notes 2 345,0 0,0 0,0 2 348,9
- Non residents located outside the Euro area amounts in millions, maturity in number of days
Issuer Issue currencyOutstandingamount in
october 2017
Issue amount inoctober 2017
Matured Debt inoctober 2017
Outstandingamount in
september 2017
Averageoriginal
maturity ofoutstanding
amount
Averageresidual
maturity ofoutstanding
amount
Averageoriginal
maturity ofissues
BANK OF CHINA LIMITED Paris Branch USD 25,0 0,0 0,0 25,0 1 534 1 110 0Equivalent_EUR 21,48 0 0 21,18 1 534 1 110
BANQUE CALEDONIENNE D INVESTISSEMENT EUR 141,3 1,0 0,0 140,3 898 626 730
SUMITOMO MITSUI BANKING CORPORATION EUROPE LIMITED succursale deParis EUR 185,0 0,0 0,0 185,0 731 108 0
Total Non residents located outside the Euro area Equivalent_EUR 347,8 1,0 0,0 346,5 848 380 730
Monthly Review produced on 07/11/2017 Source : Banque de France - STCNContact : [email protected] 20
MEDIUM TERM NOTES
III.2.2 Others financial issuers excluding asset backed securities issuers
- Residents amounts in millions, maturity in number of days
Issuer Issue currencyOutstandingamount in
october 2017
Issue amountin october
2017
Matured Debtin october 2017
Outstandingamount in
september 2017
Averageoriginal
maturity ofoutstanding
amount
Averageresidual
maturity ofoutstanding
amount
Averageoriginal
maturity ofissues
EXANE EUR 100,0 0,0 0,0 100,0 1 094 528
EXANE USD 100,0 0,0 0,0 100,0 1 096 1 007Equivalent_EUR 185,93 0 0 184,7 1 095 749
Total Residents Equivalent_EUR 185,9 0,0 0,0 184,7 1 095 749
Monthly Review produced on 07/11/2017 Source : Banque de France - STCNContact : [email protected] 21
MEDIUM TERM NOTES
III.2.3 Others financial issuers
- Residents amounts in millions, maturity in number of days
Issuer Issue currencyOutstandingamount in
october 2017
Issue amount inoctober 2017
Matured Debtin october 2017
Outstandingamount in
september 2017
Averageoriginal
maturity ofoutstanding
amount
Averageresidual
maturity ofoutstanding
amount
Averageoriginal
maturity ofissues
NATIXIS LOAN FUNDING EUR 380,1 0,0 0,0 380,1 2 513 1 331 0
Total Residents Equivalent_EUR 380,1 0,0 0,0 380,1 2 513 1 331 0
Monthly Review produced on 07/11/2017 Source : Banque de France - STCNContact : [email protected] 22
MEDIUM TERM NOTES
III.2.4 Non financial issuers
- Residents amounts in millions, maturity in number of days
Issuer Issue currencyOutstandingamount in
october 2017
Issue amountin october
2017
Matured Debtin october
2017
Outstandingamount in
september 2017
Averageoriginal
maturity ofoutstanding
amount
Averageresidual
maturity ofoutstanding
amount
Averageoriginal
maturity ofissues
FONCIERE DES REGIONS EUR 90,0 47,0 -47,0 90,0 730 422 729
LAGARDERE SCA EUR 15,2 0,0 0,0 15,2 730 627 0
SAFRAN EUR 50,0 0,0 0,0 50,0 730 673 0
UNIBAIL- RODAMCO SE EUR 102,3 0,0 0,0 102,3 486 190 0
Total Residents Equivalent_EUR 257,5 47,0 -47,0 257,5 633 391 729
Monthly Review produced on 07/11/2017 Source : Banque de France - STCNContact : [email protected] 23
MEDIUM TERM NOTES
III.2.5 Public issuers
- Residents
amounts in millions, maturity in number of days
Issuer Issue currencyOutstandingamount in
october 2017
Issue amount inoctober 2017
Matured Debt inoctober 2017
Outstandingamount in
september 2017
Averageoriginal
maturity ofoutstanding
amount
Averageresidual
maturity ofoutstanding
amount
Averageoriginal
maturity ofissues
CAISSE D'AMORTISSEMENT DE LA DETTE SOCIALE EUR 264,0 0,0 0,0 264,0 4 929 2 927 0
UNEDIC EUR 4 700,0 0,0 0,0 4 700,0 1 688 1 004 0
Total Residents Equivalent_EUR 4 964,0 0,0 0,0 4 964,0 1 861 1 107 0
Monthly Review produced on 07/11/2017 Source : Banque de France - STCNContact : [email protected] 24