


| Bond Name | Country | Maturity | Coupon(%) | |
|---|---|---|---|---|
| 4.50% 2033-08-18 EURNatixis Structured Issuance SA | Luxembourg | 2033-08-18 | 4.500 | — | 
| 4.75% 2033-06-14 EURNatixis Structured Issuance SA | Luxembourg | 2033-06-14 | 4.750 | — | 
| 5.25% 2028-06-20 USDNatixis Structured Issuance SA | Luxembourg | 2028-06-20 | 5.250 | — | 
| ZC 2025-05-02 USDNatixis Structured Issuance SA | Luxembourg | 2025-05-02 | — | — | 
| ZC 2028-11-28 USDNatixis Structured Issuance SA | Luxembourg | 2028-11-28 | — | — | 
| ZC 2029-10-04 USDNatixis Structured Issuance SA | Luxembourg | 2029-10-04 | — | — | 
| ZC 2029-12-13 EURNatixis Structured Issuance SA | Luxembourg | 2029-12-13 | — | — | 
| ZC 2030-02-04 EURNatixis Structured Issuance SA | Luxembourg | 2030-02-04 | — | — | 
| ZC 2031-06-24 EURNatixis Structured Issuance SA | Luxembourg | 2031-06-24 | — | — | 
| ZC 2033-05-12 EURNatixis Structured Issuance SA | Luxembourg | 2033-05-12 | — | — | 
| ZC 2033-05-16 EURNatixis Structured Issuance SA | Luxembourg | 2033-05-16 | — | — | 
Company overview and issue history are AI generated, and should not be cited or relied on without verification.