Latest financial operations

06/10/2026 - Final notice of Early Redemption (US054536AC14 (144A) / USF0609NAQ19 (Reg S)) 

    06/10/2026 - Final notice of Early Redemption (US054536AA57)

      06/08/2026 - Notice of Early Redemption (XS0260056717)

        04/17/2026 - Notice of Early Redemption (US054536AA57)

          04/17/2026 - Notice of Early Redemption (US054536AC14 (144A) / USF0609NAQ19 (Reg S))

            03/04/2026 - Notice of Early Redemption (XS0188935174)

              02/20/2026 - Notice of Early Redemption (XS1134541561)

                12/22/2025 - Notice of Early Redemption (XS0210434782)

                  12/22/2025 - Notice of Early Redemption (XS1004674450)

                    11/18/2025 - Notice of Early Redemption (XS0207825364)

                      11/03/2025 - Notice of Early Redemption (XS0181369454)

                        10/06/2025 - Notice of Early Redemption (XS0179060974)

                          09/16/2025 - Notice of Early Redemption (XS1069439740)

                            07/08/2025 - Notice of Early Redemption (XS0184718764)

                              10/21/2024 - Notice of Early Redemption (XS1134541306)

                                03/05/2024 - AXA announces the results of the cash tender offers for two series of subordinated notes

                                  02/26/2024 - AXA announces cash tender offers for two series of subordinated notes

                                    07/13/2023 - Notice of Early Redemption (XS0185672291)

                                      05/25/2023 - Notice of Early Redemption (XS0878743623)

                                        05/16/2023 - AXA announces the results of the adjourned meeting in respect of the consent solicitation on USD 225MM Floating Rate Perpetual Notes to address the cessation of USD LIBOR on June 30th, 2023

                                          04/28/2023 - AXA announces an adjourned meeting in respect of the consent solicitation on USD 225MM Floating Rate Perpetual Notes to address the cessation of USD LIBOR on June 30th, 2023

                                            04/28/2023 - AXA announces the results of the consent solicitation in respect of three series of USD notes to address the cessation of USD LIBOR on June 30th, 2023

                                              04/27/2023 - AXA announces the results of the cash tender offer for one series of Subordinated Notes

                                                04/19/2023 - AXA announces a cash tender offer for one series of subordinated notes

                                                  03/28/2023 - AXA announces the launch of a consent solicitation in respect of three series of USD notes to address the cessation of USD LIBOR on June 30th, 2023

                                                    09/27/2022 - AXA announces the final results of cash tender offers for two series of Subordinated Notes

                                                      09/13/2022 - AXA announces pricing of cash tender offers for two series of Subordinated Notes

                                                        09/13/2022 - AXA announces the early results of cash tender offers for two series of Subordinated Notes

                                                          08/29/2022 - AXA announced a cash tender offer for two series of subordinated notes

                                                            01/04/2022 - Notice of Early redemption (XS0876682666)

                                                              10/18/2021 - AXA announces the results of the consent solicitation in respect of three series of sterling notes to address the cessation of GBP LIBOR on 31 December 2021

                                                                09/17/2021 - AXA announces the launch of a consent solicitation in respect of three series of sterling notes to address the cessation of GBP LIBOR on Dec 31st , 2021

                                                                  03/04/2021 – Notice of Adjustment to Exchange Rates (CUSIP: 054536AD9 / ISIN: US054536AD96)

                                                                    11/23/2020 – Notice of Adjustment to Exchange Rates (CUSIP: 054536AD9 / ISIN: US054536AD96)

                                                                      08/11/2020 – Notice of Adjustment to Exchange Rates (CUSIP: 054536AD9 / ISIN: US054536AD96)

                                                                        06/01/2020 – Notice of Adjustment to Exchange Rates (CUSIP: 054536AD9 / ISIN: US054536AD96)

                                                                          04/01/2020 - Notice of early redemption (XS0503665290)

                                                                            03/09/2020 – Notice of Adjustment to Exchange Rates (CUSIP: 054536AD9 / ISIN: US054536AD96)

                                                                              11/18/2019 – Notice of Adjustment to Exchange Rates (CUSIP: 054536AD9 / ISIN: US054536AD96)

                                                                                09/23/2019 - Notice of early redemption (XS0325823119)

                                                                                  08/21/2019 – Notice of Adjustment to Exchange Rates (CUSIP: 054536AD9 / ISIN: US054536AD96)

                                                                                    06/03/2019 – Notice of Adjustment to Exchange Rates (CUSIP: 054536AD9 / ISIN: US054536AD96)

                                                                                      11/21/2018 - Notice of early redemption (CUSIP: 054536AB3 (Rule 144A) and F0609NAP3 (Regulation S) / ISIN: US054536AB31 (Rule 144A) and USF0609NAP36 (Regulation S))

                                                                                        03/22/2018 - AXA announced the successful placement of Euro 2 billion dated subordinated notes due 2049

                                                                                          September 2017 - Notice of early redemption (XS0323922376)

                                                                                            January 2017 - AXA announced the successful placement of USD 1 billion dated subordinated notes due 2047

                                                                                              September 2016 - Notices of early redemption (AU0000AXJHB7 and AU0000AXJHA9)

                                                                                                September 9, 2016 - AXA announced the successful placement of USD 850 million undated subordinated notes

                                                                                                  June 2016 - Notices of early redemption (XS0260057285 and XS0260056048)

                                                                                                    May 11, 2016 - AXA announces the successful placement of EUR 500 million senior notes due 2028

                                                                                                      March 24, 2016 - AXA announced the successful placement of EUR 1.5 billion dated subordinated notes due 2047

                                                                                                        April 28, 2015 - AXA Global Life announces the successful placement of €285 million of bonds to protect the Group against extreme events in Life

                                                                                                          November 6, 2014 - AXA announced the final results of its offer to exchange four series of Euro- and GBP-denominated undated deeply subordinated notes into two new series of Euro- and GBP- denominated undated deeply subordinated notes

                                                                                                            May 16, 2014 - AXA announced the successful placement of EUR 1 billion undated subordinated notes

                                                                                                              January 9, 2014 - AXA announced the successful placement of GBP 750 million subordinated notes

                                                                                                                May, 2013 - Notices of early redemption (XS0167957983)

                                                                                                                  January 17 and 18, 2013 - Reg S subordinated notes issues to refinance outstanding subordinated debt instruments

                                                                                                                    June, 2010 - An agreement with Resolution Ltd to dispose part of its UK life & savings operations

                                                                                                                      October 2010 - Notices of early redemption (XS0122029548)

                                                                                                                        April, 2010 - A subordinated debt instrument as part of its refinancing policy

                                                                                                                          December, 2009 - AXA launches a Euro 2 billion rights issue to finance acquisition opportunities

                                                                                                                            June - July, 2006 - AXA To Acquire Winterthur

                                                                                                                              January - February, 2006 - Offer to acquire AXA Konzern shares from minority shareholders

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