Green Bonds issues

Series
ISIN
Issue Date Maturity Date Nominal Value Place of listing

11
XS2388876232

20.09.2021 21.09.2027 EUR 500 mln Luxembourg
Stock Exchange

12
XS2680046021

11.09.2023 11.09.2027 EUR 750 mln Luxembourg
Stock Exchange

13
XS2907137736

27.09.2024 27.09.2030 EUR 500 mln Luxembourg
Stock Exchange