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CAISSE FRANCAISE DE FINANCEMENT LOCAL EMTN 2024-6 D
Globenewswire· 2025-11-14 01:16
Paris, 13 November 2025 Capitalised terms used herein shall have the meaning specified for such terms in the Caisse Française de Financement Local base prospectus to the €75,000,000,000 Euro Medium Term Note Programme dated 10 June 2025 (the “Base Prospectus”). Caisse Française de Financement Local has decided to issue on 17 November 2025 – Euro 150,000,000 Fixed Rate Obligations Foncières due 17 May 2039 to be assimilated upon listing and form a single series with the existing Euro 500,000,000 Fixed Rate O ...
Caisse Française de Financement Local: EMTN 2024-6 C
Globenewswire· 2025-11-11 01:09
Paris, 10 November 2025 Capitalised terms used herein shall have the meaning specified for such terms in the Caisse Française de Financement Local base prospectus to the €75,000,000,000 Euro Medium Term Note Programme dated 10 June 2025 (the “Base Prospectus”). Caisse Française de Financement Local has decided to issue on 13 November 2025 – Euro 150,000,000 Fixed Rate Obligations Foncières due 17 May 2039 to be assimilated upon listing and form a single series with the existing Euro 500,000,000 Fixed Rate O ...
Caisse Française de Financement Local EMTN 2025-17
Globenewswire· 2025-11-07 22:55
Paris, 7 November 2025 Capitalised terms used herein shall have the meaning specified for such terms in the Caisse Française de Financement Local base prospectus to the €75,000,000,000 Euro Medium Term Note Programme dated 10 June 2025 (the “Base Prospectus”). Caisse Française de Financement Local has decided to issue on 12 November 2025 – Euro 15,000,000 Fixed Rate Obligations Foncières due 12 November 2040. The Base Prospectus dated 10 June 2025 approved by the Autorité des Marchés Financiers and the Fina ...
Caisse Française de Financement Local EMTN 2025-16
Globenewswire· 2025-10-23 00:46
Paris, 22 October 2025 Capitalised terms used herein shall have the meaning specified for such terms in the Caisse Française de Financement Local base prospectus to the €75,000,000,000 Euro Medium Term Note Programme dated 10 June 2025 (the “Base Prospectus”). Caisse Française de Financement Local has decided to issue on 24 October 2025 – Euro 1,250,000,000 Fixed Rate Obligations Foncières due 24 May 2033. The Base Prospectus dated 10 June 2025 approved by the Autorité des Marchés Financiers and the Final T ...
Caisse Française de Financement Local: EMTN 2025-7C GREEN
Globenewswire· 2025-10-14 21:22
Paris, 14 October 2025Capitalised terms used herein shall have the meaning specified for such terms in the Caisse Française de Financement Local base prospectus to the €75,000,000,000 Euro Medium Term Note Programme dated 10 June 2025 (the “Base Prospectus”).Caisse Française de Financement Local has decided to issue on 16 October 2025 – Euro 150,000,000 Fixed Rate Obligations Foncières due 17 April 2035 to be assimilated upon listing and form a single series with the existing Euro 1,000,000,000 Fixed Rate O ...
CAISSE FRANCAISE DE FINANCEMENT LOCAL EMTN 2025-15 B SOCIAL
Globenewswire· 2025-09-27 02:37
Paris, 26 September 2025 Capitalised terms used herein shall have the meaning specified for such terms in the Caisse Française de Financement Local base prospectus to the €75,000,000,000 Euro Medium Term Note Programme dated 10 June 2025 (the “Base Prospectus”). Caisse Française de Financement Local has decided to issue on 30 September 2025 – Euro 250,000,000 Fixed Rate Obligations Foncières due 8 September 2032 to be assimilated upon listing and form a single series with the existing Euro 750,000,000 Fixed ...
Caisse Française de Financement Local EMTN 2025-15 SOCIAL
Globenewswire· 2025-09-04 22:32
发行概况 - 公司决定发行7.5亿欧元固定利率住房抵押贷款债券 到期日为2032年9月8日 [1] - 发行日期为2025年9月8日 [1] - 该发行属于750亿欧元欧洲中期票据计划的一部分 [1] 资金用途 - 发行净收益将全部或部分用于融资和/或再融资符合资格的"社会贷款" [2] - 合格社会贷款定义依据Sfil集团绿色、社会和可持续发展债券框架 [2] 法律文件 - 基础招股说明书日期为2025年6月10日 已获法国金融市场管理局批准 [3] - 最终条款将公布于卢森堡证券交易所网站 [3] - 相关文件可在发行人网站和法国金融市场管理局网站获取 [3] 交易安排 - 已指定稳定化经理负责本次发行 [2] - 支付代理信息详见基础招股说明书 [3]
Caisse Française de Financement Local EMTN 2025-7 B
Globenewswire· 2025-07-08 23:49
文章核心观点 公司决定发行固定利率债券,所得资金用于资助符合条件的绿色贷款,相关文件可在指定网站获取 [2][3][4] 发行信息 - 公司于2025年7月10日发行1.5亿欧元固定利率房地产债券,2035年4月17日到期,将与2025年4月17日发行的10亿欧元同期限债券合并为单一系列 [2] 资金用途 - 此次发行的净收益将全部或部分用于资助和/或再融资符合条件的绿色贷款,定义见SFIL集团绿色、社会和可持续发展债券框架 [3] 文件获取 - 2025年6月10日的基础招股说明书和此次发行的最终条款可在公司网站、法国金融市场管理局网站及基础招股说明书中指定的付款代理网站获取 [4]