Private placements and public issuance

## Shelf Registration issues

Samurai FRN #1 - JPY 12.5 billion Libor 6 months due January 2011 | Samurai #1 Summary Conditions of bonds (COB #1) |

Samurai #2 - JPU 31 billion 1.23% due December 2008 | Samurai #2 Summary Conditions of bonds (COB #2) |

Samurai #3 - JPY 25 billion 0.98% due December 2009 | Samurai n°3 Summary Conditions of bonds (COB #3) |

Samurai #4 - JPY 25 billion 1.12% due December 2010 | Samurai n°4 Summary Conditions of bonds (COB #4) |

Samurai #5 - JPY 10 billion 1.48% due December 2012 | Samurai n°5 Summary Conditions of bonds (COB #5) |

Samurai #6 - JPY 50 billion 1.77% due December 2011 | Samurai n°6 Summary Conditions of bonds (COB #6) |

Samurai #7 - JPY 32,5 billion 1.70% due January 2011 | Samurai n°7 Summary Conditions of bonds (COB #7) |

Samurai #8 - JPY 5 billion 2.09% due January 2013 | Samurai n°8 Summary Conditions of bonds (COB #8) |

Samurai #9 - JPY 45 billion 1.95% due December 2012 | Samurai n°9 Summary Conditions of bonds (COB #9) |

Samurai #10 - JPY 15,4 billion 3.43% due December 2013 | Samurai n°10 Summary Conditions of bonds (COB #10) |

Samurai #11 - JPY 32,3 billion 3.20% due June 2014 | Samurai n°11 Summary Conditions of bonds (COB #11) |

Samurai #12 - JPY 30,1 billion 2.77% due December 2014 | Samurai n°12 Summary Conditions of bonds (COB #12) |

Samurai #13 - JPY 38 billion 1.92% due June 2015 | Samurai n°13 Summary Conditions of bonds (COB #13) |

Samurai #14 - JPY 49.6 billion 1,37% due November 2015 | Conditions of bonds (COB #14) |

Samurai #15 - JPY 75 billion 1,09% due June 2016 | Conditions of bonds (COB #15) |

Samurai #16 - JPY 75 billion 1,27% due June 2017 | Conditions of bonds (COB #16) |

Samurai #17 - JPY 70 billion 0.75% due November 2018 | Conditions of bonds (COB #17) |

Samurai #18 - JPY 50 billion 0.23% due September 2019 | Conditions of Bonds (COB #18) |

Samourai N°19 - 63.4 Billions Yen 0.36%, maturity July 2020 | Conditions of Bonds (COB #19) |

Samourai N°20 - 26.6 Billions yens 0.50%, maturity July 2022 | Conditions of Bonds (COB #20) |

Samourai N°21 - 39.1 billion yens 0.36%, maturity July 2021 | Conditions of Bonds (COB # 21) |

Samourai N°22 - 18.3 billion yens 0.49%, maturity July 2023 | Condition of Bonds (COB # 22) |

Samourai N°23 - 40 billion yens 1.03%, maturity July 2023 | Conditions of Bonds (COB N°23) |

Samourai N°24 - 110 billions yens 1.54%, maturity July 2024 | Conditions of Bonds (COB N°24) |

Samourai N°25 - 80.7 Billions yens 3.5% maturity June 2025 | Conditions of Bonds (COB N°25) |

Samurai N°26 - 210 Billions yens 2.8% maturity December 2026 | Conditions of Bonds (COB N°26) |

## EMTN sub-program

EMTN #1 - EUR 1 billion 6.125% due June 2009 | EMTN #1 summary Pricing supplement #1 |

EMTN #7 - EUR 750 million 4.625% due May 2010 | EMTN #7 summary Pricing supplement #7 |

EMTN #9 - EUR 85 million 0.76% due June 2008 | EMTN #9 summary Pricing supplement #9 |

EMTN #10 - EUR 100 million capped Euribor due October 2008 | EMTN #10 summary Pricing supplement #10 EMTN #10 summary (T2) Pricing supplement #10 (T2) |

EMTN #11 - EUR 97.8 million CMS 10yr due August 2014 | EMTN #11 summary Pricing supplement #11 EMTN #11 summary T2 Final Terms EMTN #11 T2 EMTN #11 summary T3 Final Terms EMTN #11 T3 |

EMTN #12 - EUR 10 million Euribor due November 2008 | EMTN #12 summary Pricing supplement #12 |

EMTN #13 - EUR 20 million 4.785% due December 2010 | EMTN #13 summary Pricing supplement #13 |

EMTN #14 - EUR 10 million capped Euribor due February 2009 | EMTN #14 summary Pricing supplement #14 |

EMTN #15 - EUR 10 million conditional Euribor due April 2009 | EMTN #15 summary Pricing supplement #15 |

EMTN #18 - JPY 1 billion 1.11% due April 2009 | EMTN #18 summary Pricing supplement #18 |

EMTN #19 - EUR 50 million Euribor due April 2009 | EMTN #19 summary Pricing supplement #19 |

EMTN #20 - EUR 50 million Euribor due June 2011 | EMTN #20 summary Pricing supplement #20 |

EMTN #21 - EUR 500 million 4.375% due May 2013 | EMTN #21 summary Final Terms #21 EMTN #21 - Summary - T2 EMTN #21 - Final Terms - T2 |

EMTN n°22 - EUR 500 million 4.50% due April 2012 | EMTN #22 summary Final Terms EMTN #22 |

EMTN n°23 - EUR 10 million 5.35% CMS 10yrs Switchable due April 2017 | EMTN #23 summary Final Terms EMTN #23 |

EMTN n°24 - JPY 2 billion 1.285% due April 2010 | EMTN #24 summary Final Terms EMTN #24 |

EMTN n°25 - JPY 1 billion 1.89% due June 2014 | EMTN #25 summary Final Terms EMTN #25 |

EMTN n°26 - JPY 2 billion 1.755% due June 2012 | EMTN #26 summary Final Terms EMTN #26 |

EMTN n°27 - JPY 1 billion 1.774% due June 2012 | EMTN #27 summary Final Terms EMTN #27 |

EMTN n°28 - JPY 2 billion 2.065% due June 2014 | EMTN #28 summary Final Terms EMTN #28 |

EMTN n°29 - JPY 7 billion due December 2013 | EMTN #29 summary Final Terms EMTN #29 |

EMTN n°30 - EUR 750 million due October 2014 | EMTN #30 summary Final Terms EMTN #30 |

EMTN #32 - EUR 500 million due March 2017 | EMTN #32 summary Final Terms EMTN #32 |

EMTN #34 - EUR 650 million due June 2015 | EMTN #34 summary Final Termes EMTN #34 EMTN #34 summary - T2 Final Termes EMTN #34 - T2 |

EMTN #35 - EUR 750 million due May 2016 | EMTN #35 summary Final Termes EMTN #35 EMTN #35 summary - T2 Final Termes EMTN #35 - T2 |

EMTN #38 - EUR 850 million due September 2017 | EMTN #38 summary Final Termes EMTN #38 EMTN #38 summary - T2 Final Termes EMTN #38 - T2 |

EMTN #39 - CNY 750 million due October 2014 | EMTN #39 summary Final Termes EMTN #39 EMTN #39 summary - T2 Final Termes EMTN #39 - T2 |

EMTN #41 - CNY 1 250 million due April 2016 | EMTN #41 summary Final Terms EMTN #41 |

EMTN #42 - EUR 900 million due September 2018 | EMTN #42 summary Final Terms EMTN #42 Final Terms EMTN #42 - T2 |

EMTN #44 - EUR 500 million due March 2021 | Final Terms EMTN #44 |

EMTN #46 - EMTN N°46- 500 million yuans | Final Terms EMTN #46 |

EMTN #49 - EUR 750 million due March 2023 | Final Termes EMTN #49 |

EMTN #51 - EUR 750 million due November 2025 | Final Termes EMTN #51 |

EMTN #52 - EUR 700 million - 1% - Maturity April 2024 | Final Termes EMTN #52 |

EMTN #53 - EUR 750 million - 2% - Maturity September 2026 | Final Termes EMTN #53 |

EMTN N°54- 01 billion Euros – 1.25% - Maturity 24 June 2025 | Final Terms EMTN N°54 |

EMTN N°55 - 750 millions Euros - 1.125% - Maturity 04 October 2027 | Finals Terms EMTN N°55 |

EMTN N°57- 1 billion Euros - 2.375% - Maturity 25 May 2026 | Finals Terms EMTN N°57 |

EMTN N°58 – 600 millions Euros – 2.5% - Maturity 01 April 2028 | Final Terms EMTN N°58 |

EMTN N°59 – 500 millions Euros – 2.5% - Maturity 02 June 2027 | Final Terms EMTN N°59 |