ACA CREDIT AGRICOLE SA

CREDIT AGRICOLE S.A. ANNOUNCES REDEMPTION OF EUR 1,000,000,000 Senior Non-Preferred Callable Fixed to Floating Rate Social Notes issued on October 12, 2022 (ISIN: FR001400D0Y0)

CREDIT AGRICOLE S.A. ANNOUNCES REDEMPTION OF EUR 1,000,000,000 Senior Non-Preferred Callable Fixed to Floating Rate Social Notes issued on October 12, 2022 (ISIN: FR001400D0Y0)

Montrouge, September 12, 2025

CREDIT AGRICOLE S.A. ANNOUNCES REDEMPTION OF

EUR 1,000,000,000 Senior Non-Preferred Callable Fixed to Floating Rate Social Notes issued on October 12, 2022 (ISIN: FR001400D0Y0)*

Crédit Agricole S.A. (the “Issuer”) announces today the redemption (the “Redemption”) of all of its outstanding EUR 1,000,000,000 Senior Non-Preferred Callable Fixed to Floating Rate Social Notes issued on October 12, 2022 (ISIN: FR001400D0Y0) (the “Notes”) pursuant to Condition 7(e) (Redemption at the Option of the Issuer) of the terms and conditions of the Notes (the “Terms and Conditions”) included in the base prospectus dated April 8, 2022, which was granted the visa n°22-090 by the Autorité des marchés financiers on April 8, 2022 (as further amended and supplemented, the “Base Prospectus”), and the Final Terms of the Notes dated October 10, 2022 (the “Final Terms”), at the outstanding nominal amount thereof, together with any accrued interest thereon (the “Redemption Amount”). Capitalized terms not otherwise defined herein shall have the meanings ascribed thereto in the Base Prospectus.

In accordance with Condition 7(e) (Redemption at the Option of the Issuer) of the Terms and Conditions and the Final Terms, the Redemption Amount shall become due and payable on October 12, 2025 and, in accordance with Condition 5(h) (Accrual of Interest) of the Terms and Conditions, unless the Redemption Amount is improperly withheld or refused, each Note shall cease to bear interest on October 12, 2025. As October 12, 2025 is not a business day, in accordance with Condition 8(h) (Non-Business Days) of the Terms and Conditions, the Redemption Amount will be paid to the Noteholders on the following business day, i.e October 13, 2025 and the Noteholders will not be entitled to payment of any interest or other sum in respect of such postponed payment.

The terms and modalities of the Redemption are set out in the notice to the holders of the Notes appended to this press release.

For further information on Crédit Agricole S.A., please see Crédit Agricole S.A.’s website: .

DISCLAIMER

This press release does not constitute an offer to buy or the solicitation of an offer to sell the Notes in the United States of America, Canada, Australia or Japan or in any other jurisdiction. The distribution of this press release in certain jurisdictions may be restricted by law. Persons into whose possession this announcement comes are required to inform themselves about, and to observe, any such restrictions.

No communication or information relating to the redemption of the Notes may be distributed to the public in a country where a registration obligation or an approval is required. No action has been or will be taken in any country where such action would be required. The redemption of the Notes may be subject to specific legal and regulatory restrictions in certain jurisdictions; Crédit Agricole S.A. accepts no liability in connection with a breach by any person of such restrictions.

This press release is an advertisement; and none of this press release, any notice or any other document or material made public and/or delivered, or which may be made public and/or delivered to the holders of the Notes in connection with the redemption of the Notes is or is intended to be a prospectus for the purposes of Regulation (EU) 2017/1129 of the European Parliament and of the Council dated 14 June 2017 (as amended, the “Prospectus Regulation”). No prospectus will be published in connection with the redemption of the Notes for the purposes of the Prospectus Regulation.

This press release does not, and shall not, in any circumstances, constitute an offer to the public of Notes by Crédit Agricole S.A. nor an invitation to the public in connection with any offer in any jurisdiction, including France.

* The ISIN number is included solely for the convenience of the holders of the Notes. No representation is being made as to the correctness or accuracy of the ISIN number as contained herein.

CRÉDIT AGRICOLE S.A. PRESS CONTACT

Alexandre Barat         19        



Olivier Tassain         41        

Find our press release on: -agricole.com -

  Crédit_Agricole   Groupe Crédit Agricole   créditagricole_sa

Annex

NOTICE OF FULL REDEMPTION

TO THE NOTEHOLDERS OF

CREDIT AGRICOLE S.A.

EUR 1,000,000,000 Senior Non-Preferred Callable Fixed to Floating Rate Social Notes due October 2026

ISIN: FR001400D0Y0

Notice is hereby given that all of the outstanding EUR 1,000,000,000 Senior Non-Preferred Callable Fixed to Floating Rate Social Notes due October 2026 (the “Notes”) issued by Crédit Agricole S.A. (the “Issuer”) on October 12, 2022 (ISIN: FR001400D0Y0) will be redeemed by the Issuer pursuant to Condition 7(e) (Redemption at the Option of the Issuer) of the terms and conditions of the Notes (the “Terms and Conditions”) included in the base prospectus dated April 8, 2022, which was granted the visa n°22-090 by the Autorité des marchés financiers on April 8, 2022 (as further amended and supplemented, the “Base Prospectus”) and the Final Terms of the Notes dated October 10, 2022 (the “Final Terms”) at 100% of the outstanding nominal amount thereof, together with any accrued interest thereon (the “Redemption Amount”). Capitalized terms not otherwise defined herein shall have the meanings ascribed thereto in the Base Prospectus.

In accordance with Condition 7(e) (Redemption at the Option of the Issuer) of the Terms and Conditions and the Final Terms, the Redemption Amount shall become due and payable on October 12, 2025 and, in accordance with Condition 5 (h) (Accrual of Interest) of the Terms and Conditions, unless the Redemption Amount is improperly withheld or refused, each Note shall cease to bear interest on October 12, 2025.

Payment of the Redemption Amount shall be made in accordance with Condition 8 (Payments and Talons) of the Terms and Conditions. In particular, as October 12, 2025 is not a business day, in accordance with Condition 8(h) (Non-Business Days) of the Terms and Conditions, the Redemption Amount will be paid on the following business day, i.e October 13, 2025 and the Noteholders will not be entitled to payment of any interest or other sum in respect of such postponed payment.

Date: September 12, 2025        By: Crédit Agricole S.A.

Attachment



EN
12/09/2025

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