FY 2021 Results February 14, 2022 5:35 pm (CET)
Liquidity program report – 6 months ending December 31, 2021 January 6, 2022 8:30 am (CET)
Notice of make-whole redemption amount and rate of the 2022 notes issued on 15/04/2020 (FR0013507837) December 23, 2021 3:39 pm (CET)