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Paris, 11th of May 2011: Additional information on the Quarterly Indicators for the Three Months Ended 31 March 2011Paris, 1st of March 2011: Additional information on 2010 resultsParis, 26th of February 2010: Solvency II details Paris, 27th of November 2009: No exposure to Dubai
Paris, 4th of March 2009: Valuation of the Bond PortfolioParis, 3rd of March 2009: Solvency Margin FY 2008Paris, 30th of January 2009: CNP exposure to Bank Tier 1 instrumentsParis, 16th of December 2008: CNP exposure to Madoff fundsParis, 30th of September 2008: CNP's Stake in DexiaParis, 18th of September 2008: CNP exposure to AIG and Washington MutualParis, 15th of September 2008: CNP exposure to Lehman Brothers Paris, 15th of September 2008: Bond portfolio (details - H1 2008)Paris, 27th of August 2008: First-Half 2008 ResultsParis, 1st of August 2008: Additional questions following H1 08 RevenueParis, 16th of July 2008: Exposure to Freddie Mac and Fannie Mae and to US banks
Paris, 10th of July 2008: CAC 40 level requiring the booking of a liquidity risk reserve (PRE)
Paris, 17th of April 2008: Information on CNP Assurances life business assets
Paris, 16th of January 2008: 2008-2012 Business Plan
Paris, 17th of September 2007: First-Half 2007 Results: CDOs
Paris, 12th of September 2007: First-Half 2007 Results
Paris, 2nd of August 2007: CNP Assurances: sub-prime mortgages and CDO exposure