| Vigentes | 
	| 07-06-2024 | 07-06-2030 | EUR 750 | 3,625% | XS2835902243 |   |  | 
	| 07-06-2024 | 07-06-2027 | EUR 1.000 | Euribor (3m) +0,45% Floating rate | XS2835902839 |   |  | 
	| 26-03-2024 | 26-03-2031 | EUR 1.000 | 3,5% | XS2790910272 |   |   | 
	| 13-03-2024 | 13-03-2029 | USD 1.000 | 5,381% | US05946KAQ40 |   
 
 |  | 
	| 15-01-2024 | 15-01-2034 | EUR 1.250 | 3,875% | XS2747065030 |   
 
 |  | 
	28-11-2022 
28-11-2022 | 28-11-2025 
28-11-2028 | CHF 215 
CHF 210 | 2,4075% 
2,7700% 
 | CH1228837899 
CH1228837907 |   
  
 |  | 
	| 14-10-2022 | 14-10-2029 | EUR 1.250 | 4,375% | XS2545206166 
 |   |  | 
	| 11-10-2022 | 11-10-2034 | EUR 100 | 4,250% | XS2540780421 |   |   | 
	| 20-09-2022 | 20-09-2027 | EUR 1.250 | 3,375% | XS2534785865 |   |  | 
	| 26-05-2022 | 26-11-2025 | EUR 500 | Euribor (3m) +1,00% Floating rate | XS2485259670 |   |  | 
	| 26-05-2022 | 26-11-2025 | EUR 1.250 | 1,750% | XS2485259241 
 |   |  | 
	| 24-03-2021 | 24-03-2027 | EUR1.000 | 0,125% | XS2322289385 |   |  | 
	| 18-09-2020 | 18-09-2025 
 | USD800 
 | 1,125% 
 | US05946KAJ07 
 |   |  | 
	| 15-11-2019 | 15-11-2026 | EUR1.000 | 0,375% | XS2079713322 |   |   | 
	| 28-11-2008 | 15-01-2038 | EUR 90,2 | Abono prima de amortización en cada fecha de pago. Amortizaciones sucesivas (según calendario) | ES0214840367 |  |  | 
	| 31-10-2008 | 15-10-2038 | EUR 13,3 | Amortizaciones sucesivas según calendario. Cupón cero TIR 6,043% | ES0214840359 |  |  | 
	| 13-10-2006 | 13-10-2026 | EUR 15 | Max [ 0% ; Min {125%xCMS30y ; 20x(CMS30y-CMS2y)}] | ES0214840300 |  |  | 
	| 03-10-2006 | 03-10-2036 | GBP 165 | Min (1,29 x Libor; 3 x Real Rate) | XS0267586617 |  |  | 
	| Amortizadas | 
	| 10-05-2023 | 10-05-2026 
 | EUR 1.000 
 | 4,125% 
 
 | XS2620201421 
 |   
 
 |  | 
	| 04-06-2020 | 04-06-2025 | EUR1.000 | 0,750% | XS2182404298 |   | Notific. Amortiz.   | 
	11-07-2022 
01-09-2022 
12-09-2022 
12-09-2022 | 11-07-2024 | EUR 400 
EUR 100 
EUR 200 
EUR 165 | Euribor (3m) +0,70% Floating rate | XS2499418593 |   
  
  
  |  | 
	| 24-05-2022 | 24-05-2024 | EUR 100 | 1,00% | XS2483855453 |   |  | 
	| 03-12-2021 | 03-12-2023 | EUR 550 | Euribor(3m)+1,00% Floating rate | XS2417544991 |   |  | 
	| 18-09-2020 | 18-09-2023 | USD1.200 | 0,875% | US05946KAH41 |   |  | 
	| 09-09-2021 | 09-09-2023 | EUR1.000 | Euribor (3m)+ 1,00% Floating rate | XS2384578824 |   |   | 
	| 16-06-2010 | 16-06-2023 | EUR 24 | 5,65% | ES0213211156 |   |  | 
	| 30-06-2009 | 03-06-2022 | EUR 260 | Euribor(3m)+1,20% Floating rate | ES0213211149 |  |  | 
	| 12-04-2017 | 12-04-2022 | EUR1.500 | Euribor(3m)+0.60% Floating rate | XS1594368539 |   |  | 
	| 12-03-2007 |  12-03-2022 |  EUR 30 |  1,50% de 2008 a 2012; 1,70% de 2013 a 2017; 2,02% de 2018 a 2022 |  ES0214974083 |   |  | 
	| 17-01-2017 | 17-01-2022 | EUR1.000 | 0,625% | XS1548914800 |   |  | 
	| 02-08-2006 | 02-08-2021 | EUR 100 | Index Linked Interest Note.  Max {0%; [(1 + CMS10 years - 
Margin)A(1/4)]-1 | XS0261728025 |  |  | 
	| 30-05-2006 | 30-05-2021 | EUR 100 | Euribor(3m)- 0,50% + DV previous period + DV for the applicable period* | XS0256140202 |  |  | 
	| 20-01-2016 | 20-01-2021 | EUR1.000 | 1,000% | XS1346315200 |   |  | 
	| 20-10-2015 | 20-10-2020 | USD1.000 | 3,000% | US05946KAD37 |   |  |