Bond Info

Stellantis



      • 2023 EMTN Programme Base Prospectus Supplement (March 1, 2024)
      • 2023 EMTN Programme Base Prospectus Supplement (November 6, 2023)
      • 2023 EMTN Programme Base Prospectus Supplement (June 1, 2023)
      • 2023 EMTN Programme Base Prospectus (April 5, 2023)
      • 2023 EMTN Programme – Agency Agreement
      • 2023 EMTN Programme – Deed of Covenant
      • 2023 EMTN Programme – Permanent Global Note (Stellantis NV)
      • 2023 EMTN Programme – Temporary Global Note (Stellantis NV)
      • 2023 EMTN Programme – Permanent CMU Global Note (Stellantis NV)
      • 2023 EMTN Programme – Temporary CMU Global Note (Stellantis NV)
      • 2023 EMTN Programme - Articles of Association (Stellantis NV)

      • 2022 EMTN Programme Base Prospectus Supplement (March 3, 2023)
      • 2022 EMTN Programme Base Prospectus Supplement (November 9, 2022)
      • 2022 EMTN Programme Base Prospectus Supplement (June 20, 2022)
      • 2022 EMTN Programme Base Prospectus Supplement (May 24, 2022)
      • 2022 EMTN Programme Base Prospectus Supplement (March 23, 2022)
      • 2022 EMTN Programme Base Prospectus (March 15, 2022)

      • 2021 EMTN Programme Base Prospectus Supplement (March 4, 2022)
      • 2021 EMTN Programme Base Prospectus Supplement (October 14, 2021)
      • 2021 EMTN Programme Base Prospectus Supplement (May 13, 2021)
      • 2021 EMTN Programme Base Prospectus (March 19, 2021)



    • Final Terms €750,000,000 3.500 per cent. Notes due 19 September 2030
    • Final Terms €500,000,000 3.750 per cent. Green Bonds due 19 March 2036
    • Final Terms €1,250,000,000 4.25 per cent. Notes due 16 June 2031
    • Final Terms €1,250,000,000 4.375 per cent. Green Bonds due 14 March 2030
    • Final Terms €1,250,000,000 0.625 per cent. Notes due 30 March 2027
    • Final Terms €1,250,000,000 0.750 per cent. Notes due 18 January 2029
    • Final Terms €1,000,000,000 2.750 per cent. Notes due 1 April 2032
    • Final Terms €1,250,000,000 1.250 per cent. Notes due 20 June 2033





The documents below relate to the historical medium term note programmes and senior debt issuances of FCA Group and Groupe PSA.

FCA

  • Prospectus for the listing of $1.5 billion 4.500% Senior Notes due 2020 and $1.5 billion 5.250% Senior notes due 2023


      • 2020 EMTN Programme Base Prospectus Supplement (November 19, 2020)
      • 2020 EMTN Programme Base Prospectus Supplement (August 11, 2020)
      • 2020 EMTN Programme Base Prospectus Supplement (June 30, 2020)
      • 2020 EMTN Programme Base Prospectus Supplement (May 22, 2020)
      • 2020 EMTN Programme Base Prospectus Supplement (May 15, 2020)
      • 2020 EMTN Programme Base Prospectus (March 27, 2020)
      • 2020 EMTN Programme - Agency Agreement
      • 2020 EMTN Programme - Deed of Covenant
      • 2020 EMTN Programme - Deed of Guarantee
      • 2020 EMTN Programme - Permanent Global Note (FCA NV)
      • 2020 EMTN Programme - Permanent Global Note (FCFE)
      • 2020 EMTN Programme - Temporary Global Note (FCA NV)
      • 2020 EMTN Programme - Temporary Global Note (FCFE)
      • 2020 EMTN Programme - Articles of Association (FCA NV)
      • 2020 EMTN Programme - Articles of Association (FCFE)

      • 2020 EMTN Programme - Final Terms (July 1, 2020 - Notes due 2023)
      • 2020 EMTN Programme - Final Terms (July 1, 2020 - Notes due 2026)
      • 2020 EMTN Programme - Final Terms (July 1, 2020 - Notes due 2028)



      • 2015 GMTN Programme Base Prospectus Supplement (March 21, 2016)
      • 2015 GMTN Programme Base Prospectus Supplement (March 9, 2016)
      • 2015 GMTN Programme Base Prospectus Supplement (February 12, 2016)
      • 2015 GMTN Programme Base Prospectus (December 14, 2015)
      • 2014 GMTN Programme Base Prospectus Supplement (November 23, 2015)
      • 2014 GMTN Programme Base Prospectus Supplement (August 7, 2015)
      • 2014 GMTN Programme Base Prospectus Supplement (May 13, 2015)
      • 2014 GMTN Programme Base Prospectus Supplement (March 20, 2015)
      • 2014 GMTN Programme Base Prospectus Supplement (January 30, 2015)
      • 2014 GMTN Programme Base Prospectus (December 19, 2014)

      • Final Terms (March 23, 2016 - XS1388625425)

  • Financial Data by Activity and Debt (FCA NV)

Groupe PSA


    • Approval of the Bondholders (November 13, 2020)
    • Notice of Meeting
    • Rapport du Directoire à l'AG des obligataires (in French only)

      • EUR 1,000,000,000 2.75% Notes due 15.05.2026 issued on 15.05.2020
      • EUR 600,000,000 1.125% Notes due 18.09.2029 issued on 18.09.2019
      • EUR 650,000,000 2% Notes due 20.03.2025 issued on 20.03.2018
      • EUR 700,000,000 2% Notes due 23.03.2024 issued on 31.05.17 and 23.03.2017
      • EUR 500,000,000 2.375% Notes due 14.04.2023 issued on 15.04.2016


      • Base prospectus (June 8, 2020)

      • 2019 Sole Director’s Report on GIE PSA Trésorerie Financial Statements
      • 2019 GIE PSA Trésorerie Financial Statements
      • Second Supplement (April 28, 2020)
      • First Supplement (September 5, 2019)
      • Base prospectus (May 10, 2019)

      • 2018 Sole Director’s Report on GIE PSA Trésorerie Financial Statements
      • 2018 GIE PSA Tresorerie Financial Statements
      • Second Supplement (March 6, 2019)
      • First Supplement (September 14, 2018)
      • Base prospectus (May 4, 2018)

      • 2017 GIE PSA Trésorerie Management Report
      • 2017 GIE PSA Trésorerie Financial Statements
      • Third Supplement (March 8, 2018)
      • Second Supplement (November 15, 2017)
      • First Supplement (September 29, 2017)
      • Base prospectus (May 18, 2017)

      • 2016 GIE PSA Trésorerie Management Report
      • 2016 GIE PSA Trésorerie Financial Statements
      • Fifth supplement (March 9, 2017)
      • Fourth supplement (March 2, 2017)
      • Third supplement (December 6, 2016)
      • Second supplement (November 2, 2016)
      • First supplement (September 14, 2016)
      • Base prospectus (May 26, 2016)

      • 2015 GIE PSA Trésorerie Management Report
      • 2015 GIE PSA Trésorerie Financial Statements
      • Fifth supplement (April 6, 2016)
      • Fourth supplement (November 26, 2015)
      • Third supplement (November 4, 2015)
      • Second supplement (September 2, 2015)
      • First supplement (June 24, 2015)

    • Prospectus EUR 1,000,000,000 2.75% Notes due 15.05.2026 issued on 15.05.2020
    • Final Terms EUR 600,000,000 1.125% Notes due 18.09.2029 issued on 18.09.2019
    • Final Terms EUR 650,000,000 2% Notes due 20.03.2025 issued on 20.03.2018
    • Final Terms EUR 100,000,000 2% Notes due 23.03.2024 issued on 31.05.2017 (Tranche 2)
    • Final Terms EUR 600,000,000 2% Notes due 23.03.2024 issued on 23.03.2017 (Tranche 1)
    • Final Terms EUR 500,000,000 2.375% Notes due 14.04.2023 issued on 15.04.2016

    • Prospectus EUR 600,000,000 6% Notes due 19/09/2033 issued on 04/09/2003