Regulated agreement of April 22, 2020, with BNP Paribas and a pool of banksSyndicated Credit Facility Agreement • April 27th, 2020
Contract Type FiledApril 27th, 2020This syndicated credit facility of 3 billion euros with a maturity of up to two years comes in addition to the current liquidity of the Group and will preserve the Group’s flexibility during the Covid-19 crisis period including to insure the refinancing of its debt maturing in 2020.