Regulated information
In accordance with French legislation, these pages provide access to regulated information published by Arkema since January 1st, 2007.
In some cases, earlier information is available.
Annual financial reports
Half-year financial reports
Quarterly financial information
Reports on corporate governance and internal control
Fees received by statutory auditors
Total number of voting rights and shares
Description of share buyback programs
Liquidity contract
Information relative to shareholders general meetings
Press releases published under regulated information
Share buybacks
Prospectus and Notes of operations
- BOND ISSUED UNDER EMTN PROGRAMME OF SEPTEMBER 12, 2024
- Supplement to the EMTN Base Prospectus of March 8, 2024
- PERPETUAL HYBRID BOND ISSUED UNDER EMTN PROGRAMME OF MARCH 25, 2024
- EMTN BASE PROSPECTUS OF MARCH 8, 2024
- BOND ISSUED UNDER EMTN PROGRAMME OF NOVEMBER 20, 2023
- Second supplement to the EMTN Base Prospectus of April 26, 2023
- First Supplement to the EMTN base prospectus of April 26, 2023
- EMTN BASE PROSPECTUS OF APRIL 26, 2023
- Bond issued under EMTN Programme of January 23, 2023
- Supplement to the EMTN base prospectus of May 6, 2022
- EMTN base prospectus of May 6, 2022
- Supplement to the EMTN base prospectus of April 21, 2021
- EMTN base prospectus of April 21, 2021
- Supplement to the EMTN base prospectus of January 28, 2020
- EMTN base prospectus of January 28,2020
- Second supplement to the EMTN base prospectus of December 12, 2018
- Supplement to the EMTN base prospectus of December 12, 2018
- Perpetual hybrid bond issued under EMTN Programme – tranche prospectus of June 12, 2019
- EMTN base prospectus of December 12, 2018
- EMTN base prospectus of November 28, 2017
- Bond issued under EMTN Programme of June 30, 2017
- Bond issued under EMTN Programme of April 20, 2017
- Supplement to the EMTN base prospectus of November 25, 2016
- EMTN base prospectus of November 25, 2016
- EMTN base prospectus of November 26, 2015
- Bond issued under EMTN Programme of January 20, 2015
- EMTN base prospectus of December 19, 2014
Final Terms (Bonds issued under EMTN program)
- EURO 500.000.000 - 3,500% - SEPTEMBER 2034
- EURO 400.000.000 - 4,800% - PERPETUAL
- EURO 400,000,000 - 3.500% - January 2031
- EURO 700.000.000 - 4,25% - MAY 2030
- EURO 500,000,000 - 0.750% - December 2029
- EUR 200,000,000 - 1.500% - April 2027
- EUR 700,000,000 - 1.500% - April 2027
- EUR 300,000,000 – 0.125% - October 2026
- EUR 700,000,000 - 1.500% - January 2025
Capital increase reserved for the employees
- Capital increase reserved for the employees (2024)
- Capital increase reserved for the employees (2022)
- Capital increase reserved for the employees (2020)
- Capital increase reserved for the employees (2018)
- Capital increase reserved for the employees (2016)
- Capital increase reserved for the employees (2014)
- Capital increase reserved for the employees (2012)
- Capital increase reserved for the employees (2010)
- Capital increase reserved for the employees (2008)