Notice of residual maturity call option to holders of €350,000,000 2.875 per cent. Notes due July 2, 2025 (ISIN code: FR0013346814) – Redemption Date: 30 April 2025
Notice of residual maturity call option to holders of €350,000,000 2.875 per cent. Notes due July 2, 2025 (ISIN code: FR0013346814) – Redemption Date: 30 April 2025