Au premier semestre 2020, CIC Market Solutions a été bookrunner actif des émissions obligataires suivantes :
300 M€ 4,625% 07/2027
Bookrunner 06/2020
500 M€ 1.625% 01/2027
Bookrunner 06/2020
173 M€ annuel 06/2028 Euro PP
Bookrunner 06/2020
6000 M€ 3.750% 07/2026
Bookrunner 05/2020
600 M€0.750% 05/2030
Bookrunner 05/2020
950 M€1.00% 05/2031
Bookrunner 05/2020
700 M€ 1.250% 04/2028
Bookrunner 05/2020
500 M€ 1.250% 01/2027
Bookrunner 04/2020
1,5 MM€ 0.750% 04/2025
Bookrunner 04/2020
700 M€ 0.000% 03/2024 800 M€ 0.500% 03/2028 500 M€ 0.875% 03/2032
Bookrunner 03/2020
500 M€ 0.250% 12/2027
Bookrunner 01/2020
500 M€ 0.000% 01/2023
Bookrunner 01/2020
CIC Market Solutions remercie ses clients pour leur confiance