ACA CREDIT AGRICOLE SA

Crédit Agricole S.A. Announces Offer Prices and Final Results of its Tender Offers for EUR and GBP Senior Preferred Notes

Crédit Agricole S.A. Announces Offer Prices and Final Results of its Tender Offers for EUR and GBP Senior Preferred Notes

THIS ANNOUNCEMENT IS FOR INFORMATION ONLY AND IS NOT AN OFFER TO PURCHASE OR A SOLICITATION OF OFFERS TO SELL ANY SECURITIES. 

Montrouge 4 June 2020

Crédit Agricole S.A. Announces Offer Prices and Final Results of its Tender Offers for EUR and GBP Senior Preferred Notes

Summary of the Final Results of its Tender Offers for USD Senior Preferred Notes and EUR/GBP Senior Preferred Notes

____________________



Crédit Agricole S.A., acting through its London Branch (the “Company”), today announced the offer prices and final results for its tender offers (the “Offers”) to purchase eleven (11) series of Notes denominated in euros or pounds sterling (the “EUR/GBP Notes”) launched on 28 May 2020.

The Offers expired on 3 June 2020 at 4:00 p.m., Central European Summer time (the “Expiration Date”). The Offers were made on the terms and subject to the conditions set forth in the Tender Offer Memorandum dated 28 May 2020 (the “Tender Offer Memorandum”).

The Company has decided to accept for purchase all the EUR/GBP Notes validly tendered at or prior to the Expiration Date, representing an aggregate principal amount of EUR1,927,866,233 (equivalent) EUR/GBP Notes for a total price (excluding accrued interest) of EUR2,015,064,203 (equivalent).  The amount tendered did not exceed the Maximum Tender Amount of EUR3,500,000,000 (or equivalent), and therefore pro-rationing will not apply.

The table below set forth the Offer Price and the aggregate principal amount of each Series of EUR/GBP Notes that are accepted for purchase by the Company, as well as the principal amount remaining outstanding for each of them.

Title of Notes and

ISIN No.
Original Issued Amount / Principal Amount OutstandingReference BenchmarkReference YieldFixed Spread (basis points) / YieldOffer Price(1)Principal Amount Tendered and AcceptedOutstanding Principal Amount after Settlement
EUR Fixed Rate Notes due November 2020 issued as

EMTN Series no. 441



ISIN:  XS0997520258
EUR1,250,000,000N/A(2)N/A0% Yield101.136%EUR100,100,000EUR1,149,900,000
EUR Fixed Rate Notes due January 2022 issued as

EMTN Series no. 367



ISIN:  XS0637417790
EUR390,000,000January 2022 Interpolated Mid-Swap rate -0.280%+25 bps107.494%-EUR390,000,000
EUR Fixed Rate Notes due January 2022 issued as

EMTN Series 472



ISIN:  XS1169630602
EUR1,500,000,000January 2022 Interpolated Mid-Swap rate -0.281%+25 bps101.471%EUR219,100,000EUR1,280,900,000
EUR Fixed Rate Notes due December 2022 issued as

EMTN Series 496



ISIN:  XS1425199848
EUR1,000,000,000December 2022 Interpolated Mid-Swap rate -0.296%+25 bps101.983%EUR293,800,000EUR706,200,000
EUR Fixed Rate Notes due

April 2023 issued as

EMTN Series 361



ISIN:  XS0617251995
EUR1,000,000,000April 2023 Interpolated Mid-Swap rate -0.295%+25 bps114.843%EUR80,200,000EUR919,800,000
EUR Fixed Rate Notes due

July 2023 issued as

EMTN Series 422



ISIN:  XS0953564191
EUR1,250,000,000July 2023 Interpolated Mid-Swap rate -0.293%+30 bps109.710%EUR92,900,000EUR1,157,100,000
EUR Fixed Rate Notes due

May 2024 issued as

EMTN Series 464



ISIN:  XS1069521083
EUR1,650,000,000May 2024 Interpolated Mid-Swap rate -0.280%+35 bps109.103%EUR440,400,000EUR1,209,600,000
EUR Fixed Rate Notes due September 2024 issued as

EMTN Series 507



ISIN:  XS1550135831
EUR1,000,000,000September 2024 Interpolated Mid-Swap rate -0.272%+35 bps103.939%EUR239,300,000EUR760,700,000
GBP Fixed Rate Notes due December 2021 issued as

EMTN Series 354



ISIN:  XS0583495188
GBP250,000,000UKT 3.75% September 2021 0.050%+85 bps107.000%GBP56,902,000GBP193,098,000
GBP Senior Preferred Fixed Rate Notes due October 2024 issued as EMTN Series 564



ISIN:  FR0013449600
GBP300,000,000UKT 2.75% September 2024 0.005%+100 bps101.018%GBP93,900,000GBP206,100,000
EUR Senior Preferred Floating Rate Notes due January 2022 issued as

EMTN Series no. 542



ISIN:  FR0013396777
EUR1,500,000,000N/AN/AN/A100.350%EUR292,700,000EUR1,207,300,000

 (1) Per EUR100,000 or GBP100,000, as applicable, in principal amount of the Notes purchased pursuant to the Offers. In addition to the Offer Price, Holders that tender EUR/GBP Notes that are accepted for purchase will also receive Accrued Interest.

(2)   Not applicable.



The settlement of the Offers is expected to occur on 5 June 2020, on which date the Company will deposit with Euroclear, Clearstream or CACEIS Corporate Trust S.A., as applicable, the amount necessary to pay the aggregate Offer Price and Accrued Interest to the relevant Holder. Euroclear, Clearstream or CACEIS Corporate Trust S.A., as applicable, will pay or cause to be paid to each such Holder the relevant Offer Price and Accrued Interest.

The EUR/GBP Notes so repurchased will be canceled by the Company immediately following the settlement of the Offers.

For further details about the terms and conditions of the Offers, please refer to the Tender Offer Memorandum. Capitalized terms used in this announcement but not defined herein have the meanings given to them in the Tender Offer Memorandum.

Following today’s announcement of the final results of the Offers and the USD offers, the Company has purchased an aggregate principal amount of EUR1,433,602,256 (equivalent) USD Notes and an aggregate principal amount of EUR1,927,866,233 (equivalent) EUR/GBP Notes.

The Offers and the USD offers are expected to have an immediate impact on revenues of EUR-41 million, which will be felt in the second quarter of 2020.  Taking into consideration the expected favorable effect of the Offers and USD offers on future revenues between June 2020 and January 2025, the expected total impact of the Offers and USD offers on revenues is expected to be positive and is estimated to be EUR+46 million.



Further Information

Questions and requests for assistance in connection with the Offers may be directed to:

Sole Structuring Bank for the EUR:GBP Offers and Dealer Manager

Crédit Agricole Corporate and Investment Bank.

12, place des Etats-Unis, CS 70052

92547 Montrouge Cedex

France

Attn: Liability Management

Tel: 3

Email:

Questions and requests for assistance in connection with the tenders of the EUR/GBP Notes including requests for a copy of the Tender Offer Memorandum may be directed to:

The Tender Agents and the Information Agent for the Offers

Lucid Issuer Services Limited

Tankerton Works

12 Argyle Walk

London WC1H 8HA

Attn: Thomas Choquet

Tel: 0

Email:



 



CACEIS Corporate Trust S.A.

1-3, Place Valhubert

75013 Paris

France

Attn: David PASQUALE

Tel: +33 (6) 37 41 17 59

Email: /



 

Disclaimer

This announcement is not an offer to purchase or a solicitation of offers to sell any securities in the United States or any other jurisdiction. This announcement is not an invitation to participate in the Offers. The distribution of this announcement in certain countries may be prohibited by law. Persons who receive this press release should inform themselves of and comply with such restrictions.

 

Attachment

EN
04/06/2020

Underlying

To request access to management, click here to engage with our
partner Phoenix-IR's CorporateAccessNetwork.com

Reports on CREDIT AGRICOLE SA

 PRESS RELEASE

CREDIT AGRICOLE SA: REDUCTION OF RESOURCES TO THE LIQUIDITY CONTRACT W...

CREDIT AGRICOLE SA: REDUCTION OF RESOURCES TO THE LIQUIDITY CONTRACT WITH KEPLER CHEUVREUX Press release Montrouge, December 19 2025 REDUCTION OF RESOURCES TO THE LIQUIDITY CONTRACT WITH KEPLER CHEUVREUX In accordance with the agreement signed as of 25 October 2006, updated on 18 January 2019, and amended by Amendment No. 1 dated 6 July 2020 and by Amendment No. 2 dated 18 March 2022, Crédit Agricole S.A. (ISIN: FR0000045072) entrusted Kepler Cheuvreux with the implementation of a liquidity contract (the "Contract"). This Contract, with an initial amount of €50 million, is intended to cr...

 PRESS RELEASE

CREDIT AGRICOLE SA : REDUCTION DE MOYENS AU CONTRAT DE LIQUIDITE AVEC ...

CREDIT AGRICOLE SA : REDUCTION DE MOYENS AU CONTRAT DE LIQUIDITE AVEC KEPLER CHEUVREUX Communiqué de presse Montrouge, le 19 décembre 2025 REDUCTION DE MOYENS AU CONTRAT DE LIQUIDITE AVEC KEPLER CHEUVREUX Par contrat en date du 25 octobre 2006 et mis à jour le 18 janvier 2019, et modifié par un avenant n°1 en date du 6 juillet 2020 et par un avenant n°2 en date du 18 mars 2022, la société Crédit Agricole S.A. (ISIN : FR0000045072) a confié à la société Kepler Cheuvreux la mise en œuvre d’un contrat de liquidité (le « Contrat »). Ce Contrat, doté d’un montant initial de 50 millions d’Euro...

 PRESS RELEASE

CREDIT AGRICOLE SA: APPOINTMENT - Eric Vial is elected Chairman of the...

CREDIT AGRICOLE SA: APPOINTMENT - Eric Vial is elected Chairman of the Board of Directors of Crédit Agricole S.A. Press release                                         Montrouge, 16 December 2025 APPOINTMENTEric Vial is elected Chairman of the Board of Directorsof Crédit Agricole S.A. Crédit Agricole S.A.’s Board of Directors, which met on 16 December 2025, elected Eric Vial as Chairman. He succeeds Dominique Lefebvre and he will take up his duties on 1 January 2026. The Board of Directors unanimously made a point of commending Dominique Lefebvre’s work and commitment over his 10-year t...

 PRESS RELEASE

CREDIT AGRICOLE SA : NOMINATION - Eric Vial est élu Président du Conse...

CREDIT AGRICOLE SA : NOMINATION - Eric Vial est élu Président du Conseil d'administration de Crédit Agricole S.A. Communiqué de presse                                         Montrouge, le 16 décembre 2025 NOMINATIONEric Vial est élu Président du Conseil d'administrationde Crédit Agricole S.A. Le Conseil d’administration de Crédit Agricole S.A., réuni le 16 décembre 2025, a élu Eric Vial en qualité de Président. Il succède à Dominique Lefebvre et prendra ses fonctions le 1er janvier 2026. Le Conseil d’administration a tenu à saluer à l’unanimité le travail et l’engagement de Dominique L...

 PRESS RELEASE

CREDIT AGRICOLE SA : DECLARATION D'ACTIONS ET DE DROITS DE VOTE NOVEMB...

CREDIT AGRICOLE SA : DECLARATION D'ACTIONS ET DE DROITS DE VOTE NOVEMBRE 2025 Raison sociale de l’émetteur : Crédit Agricole S.A. – SA au capital de 9 077 707 050 eurosImmatriculée sous le n° 784 608 416 R.C.S. NANTERRESiège social : MONTROUGE (92120) 12, place des Etats-Unis Informations relatives au nombre total de droits de vote et d’actions prévues par l’article L.233-8 II du code de commerce et l’article 223-16 du règlement général de l’Autorité des Marchés FinanciersDateNombre d’actionsNombre total dedroits de vote30 novembre 20253 025 902 350Nombre de droits de vote théoriques : 3 02...

ResearchPool Subscriptions

Get the most out of your insights

Get in touch