Below, you are given facts from the annual report of three entities for the fiscal year ended December 31, 2022. Based on these facts, your task will be to sort the entities by suitability for the issuance of hybrid bonds. ## Entity A: VEOLIA ENVIRONNEMENT "Goodwill" 2022-01-01: 6201200000 EUR "Goodwill" 2023-01-01: 11637500000 EUR "Concession Intangible Assets" 2022-01-01: 3733800000 EUR "Concession Intangible Assets" 2023-01-01: 5291700000 EUR "Other Intangible Assets" 2022-01-01: 1300800000 EUR "Other Intangible Assets" 2023-01-01: 3142300000 EUR "Property Plant And Equipment" 2022-01-01: 8701900000 EUR "Property Plant And Equipment" 2023-01-01: 16569000000 EUR "Rightofuse Assets That Do Not Meet Definition Of Investment Property" 2022-01-01: 1562400000 EUR "Rightofuse Assets That Do Not Meet Definition Of Investment Property" 2023-01-01: 1997100000 EUR "Investments In Joint Ventures Accounted For Using Equity Method" 2022-01-01: 1238500000 EUR "Investments In Joint Ventures Accounted For Using Equity Method" 2023-01-01: 1197900000 EUR "Investments In Associates Accounted For Using Equity Method" 2022-01-01: 354200000 EUR "Investments In Associates Accounted For Using Equity Method" 2023-01-01: 786900000 EUR "Noncurrent Investments Other Than Investments Accounted For Using Equity Method" 2022-01-01: 3770300000 EUR "Noncurrent Investments Other Than Investments Accounted For Using Equity Method" 2023-01-01: 112500000 EUR "Actifs Financiers Operationnels Non Courants" 2022-01-01: 1191400000 EUR "Actifs Financiers Operationnels Non Courants" 2023-01-01: 1193800000 EUR "Noncurrent Derivative Financial Assets" 2022-01-01: 88500000 EUR "Noncurrent Derivative Financial Assets" 2023-01-01: 127800000 EUR "Other Noncurrent Financial Assets" 2022-01-01: 431200000 EUR "Other Noncurrent Financial Assets" 2023-01-01: 483200000 EUR "Deferred Tax Assets" 2022-01-01: 1059200000 EUR "Deferred Tax Assets" 2023-01-01: 2050800000 EUR "Noncurrent Assets" 2022-01-01: 29633400000 EUR "Noncurrent Assets" 2023-01-01: 44590500000 EUR "Inventories" 2022-01-01: 816300000 EUR "Inventories" 2023-01-01: 1486200000 EUR "Operating Receivables" 2022-01-01: 10015300000 EUR "Operating Receivables" 2023-01-01: 14533500000 EUR "Actifs Financiers Operationnels Courants" 2022-01-01: 129000000 EUR "Actifs Financiers Operationnels Courants" 2023-01-01: 182800000 EUR "Other Current Financial Assets" 2022-01-01: 1521000000 EUR "Other Current Financial Assets" 2023-01-01: 2213500000 EUR "Current Derivative Financial Assets" 2022-01-01: 344900000 EUR "Current Derivative Financial Assets" 2023-01-01: 634400000 EUR "Cash And Cash Equivalents" 2022-01-01: 10518700000 EUR "Cash And Cash Equivalents" 2023-01-01: 9012200000 EUR "Noncurrent Assets Or Disposal Groups Classified As Held For Sale" 2022-01-01: 98700000 EUR "Noncurrent Assets Or Disposal Groups Classified As Held For Sale" 2023-01-01: 651000000 EUR "Current Assets" 2022-01-01: 23443900000 EUR "Current Assets" 2023-01-01: 28713600000 EUR "Assets" 2022-01-01: 53077300000 EUR "Assets" 2023-01-01: 73304100000 EUR "Nonconsolidated Other Securities" 2023-01-01: 112500000 EUR "Nonconsolidated Suez Shares" 2022-01-01: 3721000000 EUR "Nonconsolidated Other Securities" 2022-01-01: 49000000 EUR "Issued Capital" 2022-01-01: 3498600000 EUR "Issued Capital" 2023-01-01: 3572900000 EUR "Additional Paidin Capital" 2022-01-01: 9309500000 EUR "Additional Paidin Capital" 2023-01-01: 9470200000 EUR "Titres Super Subordonnes ADuree Indeterminee" 2022-01-01: 2460700000 EUR "Titres Super Subordonnes ADuree Indeterminee" 2023-01-01: 3496300000 EUR "Reserves And Retained Earnings Attributable To Owners Of The Company" 2022-01-01: -3750800000 EUR "Reserves And Retained Earnings Attributable To Owners Of The Company" 2023-01-01: -4284700000 EUR "Equity Attributable To Owners Of Parent" 2022-01-01: 11518000000 EUR "Equity Attributable To Owners Of Parent" 2023-01-01: 12254700000 EUR "Noncontrolling Interests" 2022-01-01: 1252100000 EUR "Noncontrolling Interests" 2023-01-01: 2612200000 EUR "Equity" 2022-01-01: 12770000000 EUR "Equity" 2023-01-01: 14866900000 EUR "Noncurrent Provisions" 2022-01-01: 1876600000 EUR "Noncurrent Provisions" 2023-01-01: 2844400000 EUR "Noncurrent Financial Liabilities Excluding Concession Liabilities" 2022-01-01: 10462500000 EUR "Noncurrent Financial Liabilities Excluding Concession Liabilities" 2023-01-01: 19692100000 EUR "Noncurrent Lease Liabilities" 2022-01-01: 1298100000 EUR "Noncurrent Lease Liabilities" 2023-01-01: 1656200000 EUR "Noncurrent Derivative Financial Liabilities" 2022-01-01: 68800000 EUR "Noncurrent Derivative Financial Liabilities" 2023-01-01: 720200000 EUR "Noncurrent Concession Liabilities" 2022-01-01: 1588400000 EUR "Noncurrent Concession Liabilities" 2023-01-01: 1680500000 EUR "Deferred Tax Liabilities" 2022-01-01: 1196400000 EUR "Deferred Tax Liabilities" 2023-01-01: 2640100000 EUR "Noncurrent Liabilities" 2022-01-01: 16490800000 EUR "Noncurrent Liabilities" 2023-01-01: 29233500000 EUR "Operating Payables" 2022-01-01: 13548900000 EUR "Operating Payables" 2023-01-01: 19475200000 EUR "Current Concession Liabilities" 2022-01-01: 169400000 EUR "Current Concession Liabilities" 2023-01-01: 243200000 EUR "Current Provisions" 2022-01-01: 538500000 EUR "Current Provisions" 2023-01-01: 1015300000 EUR "Current Financial Liabilities Excluding Concession Liabilities" 2022-01-01: 8624300000 EUR "Current Financial Liabilities Excluding Concession Liabilities" 2023-01-01: 6521400000 EUR "Current Lease Liabilities" 2022-01-01: 410600000 EUR "Current Lease Liabilities" 2023-01-01: 496500000 EUR "Current Derivative Financial Liabilities" 2022-01-01: 261500000 EUR "Current Derivative Financial Liabilities" 2023-01-01: 883400000 EUR "Bank Overdrafts And Other Cash Position Items" 2022-01-01: 241900000 EUR "Bank Overdrafts And Other Cash Position Items" 2023-01-01: 213600000 EUR "Liabilities Included In Disposal Groups Classified As Held For Sale" 2022-01-01: 21400000 EUR "Liabilities Included In Disposal Groups Classified As Held For Sale" 2023-01-01: 355100000 EUR "Current Liabilities" 2022-01-01: 23816500000 EUR "Current Liabilities" 2023-01-01: 29203700000 EUR "Equity And Liabilities" 2022-01-01: 53077300000 EUR "Equity And Liabilities" 2023-01-01: 73304100000 EUR "Revenue From Contracts With Customers" 2021-01-01 - 2022-01-01: 28508100000 EUR "Revenue From Contracts With Customers" 2022-01-01 - 2023-01-01: 42885300000 EUR "Cost Of Sales" 2021-01-01 - 2022-01-01: 23905900000 EUR "Cost Of Sales" 2022-01-01 - 2023-01-01: 35739800000 EUR "Selling Expense" 2021-01-01 - 2022-01-01: 584000000 EUR "Selling Expense" 2022-01-01 - 2023-01-01: 954200000 EUR "General And Administrative Expense" 2021-01-01 - 2022-01-01: 2308600000 EUR "General And Administrative Expense" 2022-01-01 - 2023-01-01: 3215800000 EUR "Other Operating Income Expense" 2021-01-01 - 2022-01-01: -496900000 EUR "Other Operating Income Expense" 2022-01-01 - 2023-01-01: -769200000 EUR "Operating Income Before Share Of Net Income Loss Of Equity Accounted Entities" 2021-01-01 - 2022-01-01: 1212700000 EUR "Operating Income Before Share Of Net Income Loss Of Equity Accounted Entities" 2022-01-01 - 2023-01-01: 2206300000 EUR "Share Of Net Income Loss Of Core Equity Accounted Entities" 2021-01-01 - 2022-01-01: 104800000 EUR "Share Of Net Income Loss Of Core Equity Accounted Entities" 2022-01-01 - 2023-01-01: 127000000 EUR "Share Of Net Income Loss Of Core Joint Ventures" 2021-01-01 - 2022-01-01: 74000000 EUR "Share Of Net Income Loss Of Core Joint Ventures" 2022-01-01 - 2023-01-01: 56500000 EUR "Share Of Net Income Loss Of Core Associates" 2021-01-01 - 2022-01-01: 30800000 EUR "Share Of Net Income Loss Of Core Associates" 2022-01-01 - 2023-01-01: 70500000 EUR "Resultat Operationnel Apres Quote Part De Resultat Net Dans Les Entites Mises En Equivalence" 2021-01-01 - 2022-01-01: 1317500000 EUR "Resultat Operationnel Apres Quote Part De Resultat Net Dans Les Entites Mises En Equivalence" 2022-01-01 - 2023-01-01: 2333300000 EUR "Net Finance Costs" 2021-01-01 - 2022-01-01: -342600000 EUR "Net Finance Costs" 2022-01-01 - 2023-01-01: -632700000 EUR "Other Finance Income Cost" 2021-01-01 - 2022-01-01: -74200000 EUR "Other Finance Income Cost" 2022-01-01 - 2023-01-01: -204600000 EUR "Profit Loss Before Tax" 2021-01-01 - 2022-01-01: 900700000 EUR "Profit Loss Before Tax" 2022-01-01 - 2023-01-01: 1496000000 EUR "Income Tax Expense Continuing Operations" 2021-01-01 - 2022-01-01: 345800000 EUR "Income Tax Expense Continuing Operations" 2022-01-01 - 2023-01-01: 419800000 EUR "Profit Loss From Continuing Operations" 2021-01-01 - 2022-01-01: 554900000 EUR "Profit Loss From Continuing Operations" 2022-01-01 - 2023-01-01: 1076200000 EUR "Profit Loss From Discontinued Operations" 2021-01-01 - 2022-01-01: 0 EUR "Profit Loss From Discontinued Operations" 2022-01-01 - 2023-01-01: -78600000 EUR "Profit Loss" 2021-01-01 - 2022-01-01: 554900000 EUR "Profit Loss" 2022-01-01 - 2023-01-01: 997600000 EUR "Profit Loss Attributable To Owners Of Parent" 2021-01-01 - 2022-01-01: 404300000 EUR "Profit Loss Attributable To Owners Of Parent" 2022-01-01 - 2023-01-01: 715800000 EUR "Profit Loss Attributable To Noncontrolling Interests" 2021-01-01 - 2022-01-01: 150600000 EUR "Profit Loss Attributable To Noncontrolling Interests" 2022-01-01 - 2023-01-01: 281800000 EUR "Basic Earnings Loss Per Share" 2021-01-01 - 2022-01-01: 0.68 EUR/shares "Basic Earnings Loss Per Share" 2022-01-01 - 2023-01-01: 1.04 EUR/shares "Diluted Earnings Loss Per Share" 2021-01-01 - 2022-01-01: 0.65 EUR/shares "Diluted Earnings Loss Per Share" 2022-01-01 - 2023-01-01: 1 EUR/shares "Basic Earnings Loss Per Share From Continuing Operations" 2021-01-01 - 2022-01-01: 0.68 EUR/shares "Basic Earnings Loss Per Share From Continuing Operations" 2022-01-01 - 2023-01-01: 1.15 EUR/shares "Diluted Earnings Loss Per Share From Continuing Operations" 2021-01-01 - 2022-01-01: 0.65 EUR/shares "Diluted Earnings Loss Per Share From Continuing Operations" 2022-01-01 - 2023-01-01: 1.11 EUR/shares "Basic Earnings Loss Per Share From Discontinued Operations" 2021-01-01 - 2022-01-01: 0 EUR/shares "Basic Earnings Loss Per Share From Discontinued Operations" 2022-01-01 - 2023-01-01: -0.11 EUR/shares "Diluted Earnings Loss Per Share From Discontinued Operations" 2021-01-01 - 2022-01-01: 0 EUR/shares "Diluted Earnings Loss Per Share From Discontinued Operations" 2022-01-01 - 2023-01-01: -0.11 EUR/shares "Other Comprehensive Income Before Tax Gains Losses On Remeasurements Of Defined Benefit Plans" 2021-01-01 - 2022-01-01: 68200000 EUR "Other Comprehensive Income Before Tax Gains Losses On Remeasurements Of Defined Benefit Plans" 2022-01-01 - 2023-01-01: 125200000 EUR "Income Tax Relating To Remeasurements Of Defined Benefit Plans Of Other Comprehensive Income" 2021-01-01 - 2022-01-01: 5500000 EUR "Income Tax Relating To Remeasurements Of Defined Benefit Plans Of Other Comprehensive Income" 2022-01-01 - 2023-01-01: 9100000 EUR "Other Comprehensive Income Net Of Tax Gains Losses On Remeasurements Of Defined Benefit Plans" 2021-01-01 - 2022-01-01: 62700000 EUR "Other Comprehensive Income Net Of Tax Gains Losses On Remeasurements Of Defined Benefit Plans" 2022-01-01 - 2023-01-01: 116100000 EUR "Other Comprehensive Income Before Tax Gains Losses From Investments In Equity Instruments" 2021-01-01 - 2022-01-01: 662100000 EUR "Other Comprehensive Income Before Tax Gains Losses From Investments In Equity Instruments" 2022-01-01 - 2023-01-01: 5800000 EUR "Income Tax Relating To Investments In Equity Instruments Of Other Comprehensive Income" 2021-01-01 - 2022-01-01: -2700000 EUR "Income Tax Relating To Investments In Equity Instruments Of Other Comprehensive Income" 2022-01-01 - 2023-01-01: -200000 EUR "Other Comprehensive Income Net Of Tax Gains Losses From Investments In Equity Instruments" 2021-01-01 - 2022-01-01: 664800000 EUR "Other Comprehensive Income Net Of Tax Gains Losses From Investments In Equity Instruments" 2022-01-01 - 2023-01-01: 6000000 EUR "Other Comprehensive Income That Will Not Be Reclassified To Profit Or Loss Net Of Tax" 2021-01-01 - 2022-01-01: 727500000 EUR "Other Comprehensive Income That Will Not Be Reclassified To Profit Or Loss Net Of Tax" 2022-01-01 - 2023-01-01: 122100000 EUR "Other Items Of Comprehensive Income Not Subsequently Released To Net Income Attributable To Joint Ventures" 2021-01-01 - 2022-01-01: -9700000 EUR "Other Items Of Comprehensive Income Not Subsequently Released To Net Income Attributable To Joint Ventures" 2022-01-01 - 2023-01-01: 400000 EUR "Other Items Of Comprehensive Income Not Subsequently Released To Net Income Attributable To Associates" 2021-01-01 - 2022-01-01: 100000 EUR "Other Items Of Comprehensive Income Not Subsequently Released To Net Income Attributable To Associates" 2022-01-01 - 2023-01-01: 0 EUR "Ajustements De Valeur Sur Cout De La Couverture" 2021-01-01 - 2022-01-01: 50300000 EUR "Ajustements De Valeur Sur Cout De La Couverture" 2022-01-01 - 2023-01-01: -40800000 EUR "Impots" 2021-01-01 - 2022-01-01: 0 EUR "Impots" 2022-01-01 - 2023-01-01: 0 EUR "Montant Net Dimpots" 2021-01-01 - 2022-01-01: 50300000 EUR "Montant Net Dimpots" 2022-01-01 - 2023-01-01: -40800000 EUR "Other Comprehensive Income Before Tax Financial Assets Measured At Fair Value Through Other Comprehensive Income" 2021-01-01 - 2022-01-01: 0 EUR "Other Comprehensive Income Before Tax Financial Assets Measured At Fair Value Through Other Comprehensive Income" 2022-01-01 - 2023-01-01: 0 EUR "Income Tax Relating To Financial Assets Measured At Fair Value Through Other Comprehensive Income" 2021-01-01 - 2022-01-01: 0 EUR "Income Tax Relating To Financial Assets Measured At Fair Value Through Other Comprehensive Income" 2022-01-01 - 2023-01-01: 0 EUR "Other Comprehensive Income Net Of Tax Financial Assets Measured At Fair Value Through Other Comprehensive Income" 2021-01-01 - 2022-01-01: 0 EUR "Other Comprehensive Income Net Of Tax Financial Assets Measured At Fair Value Through Other Comprehensive Income" 2022-01-01 - 2023-01-01: 0 EUR "Other Comprehensive Income Before Tax Cash Flow Hedges" 2021-01-01 - 2022-01-01: 140600000 EUR "Other Comprehensive Income Before Tax Cash Flow Hedges" 2022-01-01 - 2023-01-01: -163400000 EUR "Income Tax Relating To Cash Flow Hedges Of Other Comprehensive Income" 2021-01-01 - 2022-01-01: 37400000 EUR "Income Tax Relating To Cash Flow Hedges Of Other Comprehensive Income" 2022-01-01 - 2023-01-01: -56600000 EUR "Other Comprehensive Income Net Of Tax Cash Flow Hedges" 2021-01-01 - 2022-01-01: 103200000 EUR "Other Comprehensive Income Net Of Tax Cash Flow Hedges" 2022-01-01 - 2023-01-01: -106800000 EUR "Other Comprehensive Income Before Tax Exchange Differences On Translation" 2021-01-01 - 2022-01-01: 235400000 EUR "Other Comprehensive Income Before Tax Exchange Differences On Translation" 2022-01-01 - 2023-01-01: 214400000 EUR "Other Comprehensive Income Net Of Tax Exchange Differences On Translation" 2021-01-01 - 2022-01-01: 235400000 EUR "Other Comprehensive Income Net Of Tax Exchange Differences On Translation" 2022-01-01 - 2023-01-01: 214400000 EUR "Other Comprehensive Income Before Tax Hedges Of Net Investments In Foreign Operations" 2021-01-01 - 2022-01-01: -53100000 EUR "Other Comprehensive Income Before Tax Hedges Of Net Investments In Foreign Operations" 2022-01-01 - 2023-01-01: 23800000 EUR "Income Tax Relating To Hedges Of Net Investments In Foreign Operations Of Other Comprehensive Income" 2021-01-01 - 2022-01-01: 200000 EUR "Income Tax Relating To Hedges Of Net Investments In Foreign Operations Of Other Comprehensive Income" 2022-01-01 - 2023-01-01: 4300000 EUR "Other Comprehensive Income Net Of Tax Hedges Of Net Investments In Foreign Operations" 2021-01-01 - 2022-01-01: -53300000 EUR "Other Comprehensive Income Net Of Tax Hedges Of Net Investments In Foreign Operations" 2022-01-01 - 2023-01-01: 19500000 EUR "Other Comprehensive Income That Will Be Reclassified To Profit Or Loss Net Of Tax" 2021-01-01 - 2022-01-01: 335600000 EUR "Other Comprehensive Income That Will Be Reclassified To Profit Or Loss Net Of Tax" 2022-01-01 - 2023-01-01: 86300000 EUR "Other Items Of Comprehensive Income Subsequently Released To Net Income Attributable To Joint Ventures" 2021-01-01 - 2022-01-01: 64300000 EUR "Other Items Of Comprehensive Income Subsequently Released To Net Income Attributable To Joint Ventures" 2022-01-01 - 2023-01-01: -70000000 EUR "Other Items Of Comprehensive Income Subsequently Released To Net Income Attributable To Associates" 2021-01-01 - 2022-01-01: 8700000 EUR "Other Items Of Comprehensive Income Subsequently Released To Net Income Attributable To Associates" 2022-01-01 - 2023-01-01: 14800000 EUR "Other Comprehensive Income" 2021-01-01 - 2022-01-01: 1063000000 EUR "Other Comprehensive Income" 2022-01-01 - 2023-01-01: 208400000 EUR "Comprehensive Income" 2021-01-01 - 2022-01-01: 1617900000 EUR "Comprehensive Income" 2022-01-01 - 2023-01-01: 1206000000 EUR "Comprehensive Income Attributable To Owners Of Parent" 2021-01-01 - 2022-01-01: 1383000000 EUR "Comprehensive Income Attributable To Owners Of Parent" 2022-01-01 - 2023-01-01: 972200000 EUR "Comprehensive Income Attributable To Noncontrolling Interests" 2021-01-01 - 2022-01-01: 234900000 EUR "Comprehensive Income Attributable To Noncontrolling Interests" 2022-01-01 - 2023-01-01: 233800000 EUR "Fair Value Adjustments On Financial Instruments At Fair Value Through Equity Not Subsequently Released To Net Income Relating To The Acquisition Of Suez" 2021-01-01 - 2022-01-01: 672000000 EUR "Operating Depreciation Amortization Provisions And Impairment Losses" 2021-01-01 - 2022-01-01: 2117200000 EUR "Operating Depreciation Amortization Provisions And Impairment Losses" 2022-01-01 - 2023-01-01: 3178600000 EUR "Financial Amortization And Impairment Losses" 2021-01-01 - 2022-01-01: 3800000 EUR "Financial Amortization And Impairment Losses" 2022-01-01 - 2023-01-01: 14800000 EUR "Gains Losses On Disposal Of Operating Assets" 2021-01-01 - 2022-01-01: -39200000 EUR "Gains Losses On Disposal Of Operating Assets" 2022-01-01 - 2023-01-01: -299000000 EUR "Plus Ou Moins Values De Cessions Dactifs Financiers" 2021-01-01 - 2022-01-01: 1200000 EUR "Plus Ou Moins Values De Cessions Dactifs Financiers" 2022-01-01 - 2023-01-01: -370000000 EUR "Share Of Net Income Loss Of Joint Ventures" 2021-01-01 - 2022-01-01: 74100000 EUR "Share Of Net Income Loss Of Joint Ventures" 2022-01-01 - 2023-01-01: 56500000 EUR "Adjustments For Undistributed Profits Of Associates" 2021-01-01 - 2022-01-01: 30800000 EUR "Adjustments For Undistributed Profits Of Associates" 2022-01-01 - 2023-01-01: 70500000 EUR "Adjustments For Dividend Income" 2021-01-01 - 2022-01-01: 124200000 EUR "Adjustments For Dividend Income" 2022-01-01 - 2023-01-01: 4100000 EUR "Net Finance Costs Adjustments" 2021-01-01 - 2022-01-01: 342600000 EUR "Net Finance Costs Adjustments" 2022-01-01 - 2023-01-01: 632700000 EUR "Adjustments For Income Tax Expense" 2021-01-01 - 2022-01-01: 345800000 EUR "Adjustments For Income Tax Expense" 2022-01-01 - 2023-01-01: 419800000 EUR "Other Adjustments To Reconcile Profit Loss" 2021-01-01 - 2022-01-01: 116000000 EUR "Other Adjustments To Reconcile Profit Loss" 2022-01-01 - 2023-01-01: 282300000 EUR "Cash Flows From Used In Operations Before Changes In Working Capital" 2021-01-01 - 2022-01-01: 3213200000 EUR "Cash Flows From Used In Operations Before Changes In Working Capital" 2022-01-01 - 2023-01-01: 4804300000 EUR "Change In Operating Working Capital Requirements" 2021-01-01 - 2022-01-01: -382500000 EUR "Change In Operating Working Capital Requirements" 2022-01-01 - 2023-01-01: -48000000 EUR "Change In Concession Working Capital Requirements" 2021-01-01 - 2022-01-01: 146300000 EUR "Change In Concession Working Capital Requirements" 2022-01-01 - 2023-01-01: 190500000 EUR "Income Taxes Paid Refund Classified As Operating Activities" 2021-01-01 - 2022-01-01: 285600000 EUR "Income Taxes Paid Refund Classified As Operating Activities" 2022-01-01 - 2023-01-01: 557400000 EUR "Cash Flows From Used In Operating Activities Continuing Operations" 2021-01-01 - 2022-01-01: 3163800000 EUR "Cash Flows From Used In Operating Activities Continuing Operations" 2022-01-01 - 2023-01-01: 4104400000 EUR "Cash Flows From Used In Operating Activities Discontinued Operations" 2021-01-01 - 2022-01-01: -16600000 EUR "Cash Flows From Used In Operating Activities Discontinued Operations" 2022-01-01 - 2023-01-01: 43800000 EUR "Cash Flows From Used In Operating Activities" 2021-01-01 - 2022-01-01: 3147200000 EUR "Cash Flows From Used In Operating Activities" 2022-01-01 - 2023-01-01: 4148200000 EUR "Investissements Industriels Nets De Subvention" 2021-01-01 - 2022-01-01: 1728800000 EUR "Investissements Industriels Nets De Subvention" 2022-01-01 - 2023-01-01: 2783600000 EUR "Cessions Dactifs Industriels" 2021-01-01 - 2022-01-01: 316400000 EUR "Cessions Dactifs Industriels" 2022-01-01 - 2023-01-01: 598000000 EUR "Purchase Of Financial Instruments Classified As Investing Activities" 2021-01-01 - 2022-01-01: 327200000 EUR "Purchase Of Financial Instruments Classified As Investing Activities" 2022-01-01 - 2023-01-01: 4009400000 EUR "Proceeds From Sales Or Maturity Of Financial Instruments Classified As Investing Activities" 2021-01-01 - 2022-01-01: 470100000 EUR "Proceeds From Sales Or Maturity Of Financial Instruments Classified As Investing Activities" 2022-01-01 - 2023-01-01: 9995100000 EUR "New Operating Financial Assets" 2021-01-01 - 2022-01-01: -166600000 EUR "New Operating Financial Assets" 2022-01-01 - 2023-01-01: -182400000 EUR "Principal Payments On Operating Financial Assets" 2021-01-01 - 2022-01-01: 251400000 EUR "Principal Payments On Operating Financial Assets" 2022-01-01 - 2023-01-01: 195400000 EUR "Dividends Received Classified As Investing Activities" 2021-01-01 - 2022-01-01: 223100000 EUR "Dividends Received Classified As Investing Activities" 2022-01-01 - 2023-01-01: 128600000 EUR "New Noncurrent Loans Granted" 2021-01-01 - 2022-01-01: 141800000 EUR "New Noncurrent Loans Granted" 2022-01-01 - 2023-01-01: 105200000 EUR "Principal Payments On Noncurrent Loans" 2021-01-01 - 2022-01-01: 224600000 EUR "Principal Payments On Noncurrent Loans" 2022-01-01 - 2023-01-01: 109200000 EUR "Net Decrease Increase In Current Loans" 2021-01-01 - 2022-01-01: 28200000 EUR "Net Decrease Increase In Current Loans" 2022-01-01 - 2023-01-01: 484000000 EUR "Cash Flows From Used In Investing Activities Continuing Operations" 2021-01-01 - 2022-01-01: -850600000 EUR "Cash Flows From Used In Investing Activities Continuing Operations" 2022-01-01 - 2023-01-01: 4429700000 EUR "Cash Flows From Used In Investing Activities Discontinued Operations" 2021-01-01 - 2022-01-01: 0 EUR "Cash Flows From Used In Investing Activities Discontinued Operations" 2022-01-01 - 2023-01-01: 93800000 EUR "Cash Flows From Used In Investing Activities" 2021-01-01 - 2022-01-01: -850600000 EUR "Cash Flows 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2022-01-01: 1092655000 EUR "Cash And Cash Equivalents" 2021-01-01: 481772000 EUR "Name Of Parent Entity" "es" 2022-01-01 - 2023-01-01: Red Eléctrica Corporación, S.A. (en adelante la Sociedad matriz o la Sociedad) "Name Of Reporting Entity Or Other Means Of Identification" "es" 2022-01-01 - 2023-01-01: Red Eléctrica Corporación, S.A. "Address Of Registered Office Of Entity" "es" 2022-01-01 - 2023-01-01: Paseo del Conde de los Gaitanes, 177, Alcobendas (Madrid) "Country Of Incorporation" "es" 2022-01-01 - 2023-01-01: España "Principal Place Of Business" "es" 2022-01-01 - 2023-01-01: España "Legal Form Of Entity" "es" 2022-01-01 - 2023-01-01: S.A. "Name Of Ultimate Parent Of Group" "es" 2022-01-01 - 2023-01-01: Red Eléctrica Corporación, S.A. "Domicile Of Entity" "es" 2022-01-01 - 2023-01-01: España "Dividends Recognised As Distributions To Owners Per Share" 2022-01-01 - 2023-01-01: 1 EUR/shares "Dividends Proposed Or Declared Before Financial Statements Authorised For Issue But Not Recognised As Distribution To Owners Per Share" 2022-01-01 - 2023-01-01: 1 EUR/shares "Dividends Recognised As Distributions To Owners Per Share" 2021-01-01 - 2022-01-01: 1 EUR/shares "Dividends Proposed Or Declared Before Financial Statements Authorised For Issue But Not Recognised As Distribution To Owners Per Share" 2021-01-01 - 2022-01-01: 1 EUR/shares -------------------- Which of the three issuers should a bank engage first, which second and which third to originate a hybrid bond transaction? Higher priority should generally be assigned to issuers based on the KPIs below. The elements listed are non-exhaustive and should not be treated as a checklist. They are intended to provide guidance rather than impose rigid thresholds. - Refinancing of existing hybrids based on maturity profile - Deteriorating credit metrics that could lead to a rating downgrade - Hybrid issuance would materially improve adjusted leverage metrics - Cost of hybrid is marginal compared to average cost of debt - The issuer falls within the category Strongly suitable or Marginally suitable Definition of Strongly suitable and Marginally suitable: - Strongly Suitable: - Regulated, quasi-regulated, infrastructure-like, utility, energy infrastructure, telecom incumbent, or business with highly visible cash flows - Investment grade profile in the BBB area - Hybrid issuance could materially improve adjusted leverage, FFO/debt, or rating headroom - Strong refinancing, capex, or M&A funding rationale - High credibility of financial policy and ability to access institutional capital markets - Deteriorating financial metrics per S&P and hybrid needed to preserve current rating - Hybrid bond call within the next 18 months requiring refinancing. - Marginally Suitable: - Industrial, partially regulated energy, telecom challenger, real estate, or infrastructure-adjacent issuer with moderate cash flow visibility - Hybrid issuance would be opportunistic, mainly for M&A, refinancing, avoiding equity issuance, or temporary credit support - Moderate rating benefit but not a core recurring funding instrument - Market access likely but pricing may be sensitive to sector, leverage, and volatility - Stable financial metrics per S&P but hybrid could increase current rating headroom Explain your reasoning, taking into account the guidelines above. Then, at the end, give your final answer, on a single line, between XML tags with no markdown fences. This final line must be exactly one of: A,B,C A,C,B B,A,C B,C,A C,A,B C,B,A