Obbligazioni

Stellantis



      • 2025 EMTN Programme Base Prospectus Supplement (May 30, 2025)
      • 2025 EMTN Programme Base Prospectus (May 16, 2025)
      • 2025 EMTN Programme – Agency Agreement
      • 2025 EMTN Programme – Deed of Covenant
      • 2025 EMTN Programme – Permanent Global Note (Stellantis NV)
      • 2025 EMTN Programme – Temporary Global Note (Stellantis NV)
      • 2025 EMTN Programme – Permanent CMU Global Note (Stellantis NV)
      • 2025 EMTN Programme – Temporary CMU Global Note (Stellantis NV)
      • 2025 EMTN Programme – Articles of Association (Stellantis NV)

      • 2024 EMTN Programme Base Prospectus Supplement (March 7, 2025)
      • 2024 EMTN Programme Base Prospectus Supplement (November 4, 2024)
      • 2024 EMTN Programme Base Prospectus Supplement (August 30, 2024)
      • 2024 EMTN Programme Base Prospectus (May 22, 2024)

      • 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)

      • 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 €700,000,000 3.875 per cent. Notes due 6 June 2031
    • Final Terms €800,000,000 4.625 per cent. Notes due 6 June 2035
    • Final Terms €750,000,000 4.000 per cent. Notes due 19 March 2034
    • Final Terms €750,000,000 3.375 per cent. Notes due 19 November 2028
    • 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

I seguenti documenti si riferiscono ai Medium Term Notes Programmes e alle obbligazioni senior del Gruppo FCA e di Groupe PSA.

FCA



      • 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 2026)
      • 2020 EMTN Programme - Final Terms (July 1, 2020 - Notes due 2028)
  • Dati Finanziari per Attività e Debito (FCA NV)

Groupe PSA




      • 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)

    • 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

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