Overview of Bpifrance, refinancing strategy, bond issuer activity report, financial data, and risk management.
Reports and publications
URD - annual reports
Consult reports issued since 2010.
These documents have been filed with the Autorité des Marchés Financiers (AMF) in compliance with its General Regulations Article 212-13. They were drawn up by the issuer and the signatories shall be liable for their content.
Semi annual consolidated accounts
Bpifrance publishes half-yearly consolidated accounts.
Consult all reports published since 2010.
Consult our latest press releases.
Documents in compliance with prudential requirements for publication under Directive 2013/36 and European Regulation No. 575/2013.
Indicative Calendar of Financial Communication
This calendar is settled on by Bpifrance group’s governance and will be subject to updates. This calendar is provided for indicative and information purpose only, it may be subject to changes, we can never rule out changes of dates, therefore, we recommend checking them regularly on this website.
Bpifrance - Update of the prospectus approved by the AMF on June 12, 2023
Consult all the base prospectuses relating to the EMTN - Euro Medium Term Note securities issuance program.
The original base prospectus of this program was approved by the AMF (Autorité des Marchés Financiers) on July 27, 2011.
The latest update was approved by the AMF on June 12, 2023.
Issues - Current Bond Outstanding : 36,856 M€
Bpifrance has created an EMTN issuance program that reached €45 billion on June 12, 2020. Securities issued under this program benefit from the public institution’s EPIC guarantee and the EMTN program’s Moody’s Aa2 and Fitch AA- ratings.
Covid-19 Response Bond
Bpifrance Green Bond 1 & 2
NEU CP AND NEU MTN PROGRAMS
Bpifrance informs investors that two programs for the issuance of negotiable debt securities (TCN) on the domestic market have been filed with the Banque de France. They benefit from the Bpifrance EPIC guarantee and Moody's Aa2 and Fitch F1+ ratings:
→ a short-term negotiable securities program (NEU CP) with issuance limit of €8 billion;
→ a medium-term negotiable securities program (NEU MTN), with issuance limit of €4 billion.