Below is data about three entities at the end of year 2022: ## Entity A: TenneT Holding B.V. "Property Plant And Equipment" 2023-01-01: 26823000000 EUR "Property Plant And Equipment" 2022-01-01: 23811000000 EUR "Rightofuse Assets" 2023-01-01: 748000000 EUR "Rightofuse Assets" 2022-01-01: 433000000 EUR "Intangible Assets And Goodwill" 2023-01-01: 306000000 EUR "Intangible Assets And Goodwill" 2022-01-01: 254000000 EUR "Investments In Joint Ventures Accounted For Using Equity Method" 2023-01-01: 630000000 EUR "Investments In Joint Ventures Accounted For Using Equity Method" 2022-01-01: 638000000 EUR "Investments In Associates Accounted For Using Equity Method" 2023-01-01: 36000000 EUR "Investments In Associates Accounted For Using Equity Method" 2022-01-01: 34000000 EUR "Deferred Tax Assets" 2023-01-01: 711000000 EUR "Deferred Tax Assets" 2022-01-01: 162000000 EUR "Other Noncurrent Financial Assets" 2023-01-01: 44000000 EUR "Other Noncurrent Financial Assets" 2022-01-01: 37000000 EUR "Noncurrent Assets" 2023-01-01: 29298000000 EUR "Noncurrent Assets" 2022-01-01: 25369000000 EUR "Inventories" 2023-01-01: 132000000 EUR "Inventories" 2022-01-01: 83000000 EUR "Trade And Other Current Receivables" 2023-01-01: 2348000000 EUR "Trade And Other Current Receivables" 2022-01-01: 2401000000 EUR "Current Tax Assets Current" 2023-01-01: 158000000 EUR "Current Tax Assets Current" 2022-01-01: 143000000 EUR "Cash And Cash Equivalents" 2023-01-01: 6547000000 EUR "Cash And Cash Equivalents" 2022-01-01: 3204000000 EUR "Current Assets" 2023-01-01: 9185000000 EUR "Current Assets" 2022-01-01: 5831000000 EUR "Noncurrent Assets Or Disposal Groups Classified As Held For Sale" 2023-01-01: 26000000 EUR "Noncurrent Assets Or Disposal Groups Classified As Held For Sale" 2022-01-01: 0 EUR "Assets" 2023-01-01: 38509000000 EUR "Assets" 2022-01-01: 31200000000 EUR "Equity Attributable To Ordinary Equity Holders Of Parent Entity" 2023-01-01: 5133000000 EUR "Equity Attributable To Ordinary Equity Holders Of Parent Entity" 2022-01-01: 4844000000 EUR "Hybrid Capital" 2023-01-01: 2125000000 EUR "Hybrid Capital" 2022-01-01: 2125000000 EUR "Equity Attributable To Owners Of Parent" 2023-01-01: 7258000000 EUR "Equity Attributable To Owners Of Parent" 2022-01-01: 6969000000 EUR "Noncontrolling Interests" 2023-01-01: 455000000 EUR "Noncontrolling Interests" 2022-01-01: 455000000 EUR "Equity" 2023-01-01: 7713000000 EUR "Equity" 2022-01-01: 7424000000 EUR "Longterm Borrowings" 2023-01-01: 19006000000 EUR "Longterm Borrowings" 2022-01-01: 12366000000 EUR "Noncurrent Contract Liabilities" 2023-01-01: 531000000 EUR "Noncurrent Contract Liabilities" 2022-01-01: 428000000 EUR "Deferred Tax Liabilities" 2023-01-01: 12000000 EUR "Deferred Tax Liabilities" 2022-01-01: 7000000 EUR "Noncurrent Provisions" 2023-01-01: 1235000000 EUR "Noncurrent Provisions" 2022-01-01: 1417000000 EUR "Noncurrent Lease Liabilities" 2023-01-01: 574000000 EUR "Noncurrent Lease Liabilities" 2022-01-01: 235000000 EUR "Noncurrent Recognised Liabilities Defined Benefit Plan" 2023-01-01: 174000000 EUR "Noncurrent Recognised Liabilities Defined Benefit Plan" 2022-01-01: 351000000 EUR "Other Noncurrent Financial Liabilities" 2023-01-01: 185000000 EUR "Other Noncurrent Financial Liabilities" 2022-01-01: 183000000 EUR "Other Noncurrent Liabilities" 2023-01-01: 31000000 EUR "Other Noncurrent Liabilities" 2022-01-01: 25000000 EUR "Noncurrent Liabilities" 2023-01-01: 21748000000 EUR "Noncurrent Liabilities" 2022-01-01: 15012000000 EUR "Shortterm Borrowings" 2023-01-01: 709000000 EUR "Shortterm Borrowings" 2022-01-01: 1339000000 EUR "Current Contract Liabilities" 2023-01-01: 17000000 EUR "Current Contract Liabilities" 2022-01-01: 2000000 EUR "Current Tax Liabilities Current" 2023-01-01: 26000000 EUR "Current Tax Liabilities Current" 2022-01-01: 6000000 EUR "Current Provisions" 2023-01-01: 77000000 EUR "Current Provisions" 2022-01-01: 45000000 EUR "Other Current Financial Liabilities" 2023-01-01: 550000000 EUR "Other Current Financial Liabilities" 2022-01-01: 281000000 EUR "Current Bank Overdrafts" 2023-01-01: 0 EUR "Current Bank Overdrafts" 2022-01-01: 64000000 EUR "Current Lease Liabilities" 2023-01-01: 155000000 EUR "Current Lease Liabilities" 2022-01-01: 169000000 EUR "Trade And Other Current Payables" 2023-01-01: 7489000000 EUR "Trade And Other Current Payables" 2022-01-01: 6858000000 EUR "Current Liabilities" 2023-01-01: 9023000000 EUR "Current Liabilities" 2022-01-01: 8764000000 EUR "Liabilities Included In Disposal Groups Classified As Held For Sale" 2023-01-01: 25000000 EUR "Liabilities Included In Disposal Groups Classified As Held For Sale" 2022-01-01: 0 EUR "Equity And Liabilities" 2023-01-01: 38509000000 EUR "Equity And Liabilities" 2022-01-01: 31200000000 EUR "Revenue" 2022-01-01 - 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2022-01-01: 52000000 EUR "Adjustments For Increase Decrease In Current Financial Liabilities Excluding Eeg Working Capital" 2022-01-01 - 2023-01-01: 269000000 EUR "Adjustments For Increase Decrease In Current Financial Liabilities Excluding Eeg Working Capital" 2021-01-01 - 2022-01-01: 196000000 EUR "Increase Decrease In Working Capital Excluding Eeg Working Capital" 2022-01-01 - 2023-01-01: 736000000 EUR "Increase Decrease In Working Capital Excluding Eeg Working Capital" 2021-01-01 - 2022-01-01: -680000000 EUR "Income Taxes Paid Refund Classified As Operating Activities" 2022-01-01 - 2023-01-01: 231000000 EUR "Income Taxes Paid Refund Classified As Operating Activities" 2021-01-01 - 2022-01-01: 246000000 EUR "Cash Flows From Used In Operations Excluding Eeg Working Capital" 2022-01-01 - 2023-01-01: 596000000 EUR "Cash Flows From Used In Operations Excluding Eeg Working Capital" 2021-01-01 - 2022-01-01: -1260000000 EUR "Adjustments For Decrease Increase In Trade And Other Receivables Eeg Working Capital" 2022-01-01 - 2023-01-01: 592000000 EUR "Adjustments For Decrease Increase In Trade And Other Receivables Eeg Working Capital" 2021-01-01 - 2022-01-01: 1956000000 EUR "Adjustments For Decrease Increase In Trade And Other Receivables Eeg Working Capital Over Three Months" 2022-01-01 - 2023-01-01: 472000000 EUR "Adjustments For Decrease Increase In Trade And Other Receivables Eeg Working Capital Over Three Months" 2021-01-01 - 2022-01-01: -472000000 EUR "Adjustments For Increase Decrease In Trade And Other Payables Eeg Working Capital" 2022-01-01 - 2023-01-01: 728000000 EUR "Adjustments For Increase Decrease In Trade And Other Payables Eeg Working Capital" 2021-01-01 - 2022-01-01: 2961000000 EUR "Increase Decrease In Working Capital Eeg Working Capital" 2022-01-01 - 2023-01-01: -1792000000 EUR "Increase Decrease In Working Capital Eeg Working Capital" 2021-01-01 - 2022-01-01: -4445000000 EUR "Cash Flows From Used In Operating Activities" 2022-01-01 - 2023-01-01: 1196000000 EUR "Cash Flows From Used In Operating Activities" 2021-01-01 - 2022-01-01: 5705000000 EUR "Purchase Of Property Plant And Equipment Intangible Assets Other Than Goodwill Investment Property And Other Noncurrent Assets" 2022-01-01 - 2023-01-01: 4424000000 EUR "Purchase Of Property Plant And Equipment Intangible Assets Other Than Goodwill Investment Property And Other Noncurrent Assets" 2021-01-01 - 2022-01-01: 3711000000 EUR "Proceeds From Disposals Of Property Plant And Equipment Intangible Assets Other Than Goodwill Investment Property And Other Noncurrent Assets" 2022-01-01 - 2023-01-01: 5000000 EUR "Proceeds From Disposals Of Property Plant And Equipment Intangible Assets Other Than Goodwill Investment Property And Other Noncurrent Assets" 2021-01-01 - 2022-01-01: 11000000 EUR "Capital Repayments From Joint Ventures Classified As Investing Activities" 2022-01-01 - 2023-01-01: 32000000 EUR "Capital Repayments From Joint Ventures Classified As Investing Activities" 2021-01-01 - 2022-01-01: 29000000 EUR "Interest Received Classified As Investing Activities" 2022-01-01 - 2023-01-01: 45000000 EUR "Interest Received Classified As Investing Activities" 2021-01-01 - 2022-01-01: 3000000 EUR "Capital Contribution To Joint Ventures And Associates Classified As Investing Activities" 2022-01-01 - 2023-01-01: 3000000 EUR "Capital Contribution To Joint Ventures And Associates Classified As Investing Activities" 2021-01-01 - 2022-01-01: 0 EUR "Cash Flows From Used In Investing Activities" 2022-01-01 - 2023-01-01: -4345000000 EUR "Cash Flows From Used In Investing Activities" 2021-01-01 - 2022-01-01: -3668000000 EUR "Proceeds From Borrowings Classified As Financing Activities" 2022-01-01 - 2023-01-01: 7338000000 EUR "Proceeds From Borrowings Classified As Financing Activities" 2021-01-01 - 2022-01-01: 3481000000 EUR "Repayments Of Borrowings Classified As Financing Activities" 2022-01-01 - 2023-01-01: 1339000000 EUR "Repayments Of Borrowings Classified As Financing Activities" 2021-01-01 - 2022-01-01: 2243000000 EUR "Net Financing" 2022-01-01 - 2023-01-01: 5999000000 EUR "Net Financing" 2021-01-01 - 2022-01-01: 1238000000 EUR "Payments Of Lease Liabilities Classified As Financing Activities" 2022-01-01 - 2023-01-01: 221000000 EUR "Payments Of Lease Liabilities Classified As Financing Activities" 2021-01-01 - 2022-01-01: 156000000 EUR "Interest Paid Classified As Financing Activities" 2022-01-01 - 2023-01-01: 202000000 EUR "Interest Paid Classified As Financing Activities" 2021-01-01 - 2022-01-01: 174000000 EUR "Proceeds From Capital Contributions Classified As Financing Activities" 2022-01-01 - 2023-01-01: 1230000000 EUR "Proceeds From Capital Contributions Classified As Financing Activities" 2021-01-01 - 2022-01-01: 0 EUR "Dividends Paid To Ordinary Equity Holders Of Parent Entity Classified As Financing Activities" 2022-01-01 - 2023-01-01: 141000000 EUR "Dividends Paid To Ordinary Equity Holders Of Parent Entity Classified As Financing Activities" 2021-01-01 - 2022-01-01: 149000000 EUR "Dividends Paid To Hybrid Capital Owners Classified As Financing Activities" 2022-01-01 - 2023-01-01: 57000000 EUR "Dividends Paid To Hybrid Capital Owners Classified As Financing Activities" 2021-01-01 - 2022-01-01: 57000000 EUR "Repayments Of Other Financial Liabilities Classified As Financing Activities" 2022-01-01 - 2023-01-01: 20000000 EUR "Repayments Of Other Financial Liabilities Classified As Financing Activities" 2021-01-01 - 2022-01-01: 40000000 EUR "Dividends Paid To Noncontrolling Interests Classified As Financing Activities" 2022-01-01 - 2023-01-01: 32000000 EUR "Dividends Paid To Noncontrolling Interests Classified As Financing Activities" 2021-01-01 - 2022-01-01: 36000000 EUR "Other Financing Activities" 2022-01-01 - 2023-01-01: 557000000 EUR "Other Financing Activities" 2021-01-01 - 2022-01-01: -612000000 EUR "Cash Flows From Used In Financing Activities" 2022-01-01 - 2023-01-01: 6556000000 EUR "Cash Flows From Used In Financing Activities" 2021-01-01 - 2022-01-01: 626000000 EUR "Increase Decrease In Cash And Cash Equivalents" 2022-01-01 - 2023-01-01: 3407000000 EUR "Increase Decrease In Cash And Cash Equivalents" 2021-01-01 - 2022-01-01: 2663000000 EUR "Cash And Cash Equivalents If Different From Statement Of Financial Position" 2023-01-01: 6547000000 EUR "Cash And Cash Equivalents If Different From Statement Of Financial Position" 2022-01-01: 3140000000 EUR "Cash And Cash Equivalents If Different From Statement Of Financial Position" 2021-01-01: 477000000 EUR "Description Of Accounting Policy For Borrowing Costs Explanatory" "en" 2022-01-01 - 2023-01-01: iAccounting policyPlease refer to note 28, accounting policies for financial instruments. "Name Of Reporting Entity Or Other Means Of Identification" "en" 2022-01-01 - 2023-01-01: TenneT Holding B.V. TenneT Holding B.V. "Description Of Nature Of Entitys Operations And Principal Activities" "en" 2022-01-01 - 2023-01-01: transmission system operator "Name Of Parent Entity" "en" 2022-01-01 - 2023-01-01: Dutch State "Principal Place Of Business" "en" 2022-01-01 - 2023-01-01: Arnhem "Legal Form Of Entity" "en" 2022-01-01 - 2023-01-01: B.V. 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Classified As Investing Activities" 2022-01-01 - 2023-01-01: 268000000 EUR "Other Cash Receipts From Sales Of Equity Or Debt Instruments Of Other Entities Classified As Investing Activities" 2021-01-01 - 2022-01-01: 73000000 EUR "Interest Received Classified As Investing Activities" 2022-01-01 - 2023-01-01: -37000000 EUR "Interest Received Classified As Investing Activities" 2021-01-01 - 2022-01-01: 32000000 EUR "Dividends Received Classified As Investing Activities" 2022-01-01 - 2023-01-01: 18000000 EUR "Dividends Received Classified As Investing Activities" 2021-01-01 - 2022-01-01: 57000000 EUR "Change In Loans And Receivables Originated By The Group And Other" 2022-01-01 - 2023-01-01: 2877000000 EUR "Change In Loans And Receivables Originated By The Group And Other" 2021-01-01 - 2022-01-01: -121000000 EUR "Cash Flows From Used In Investing Activities Continuing Operations" 2022-01-01 - 2023-01-01: -1167000000 EUR "Cash Flows From Used In Investing Activities Continuing Operations" 2021-01-01 - 2022-01-01: -8039000000 EUR "Cash Flows From Used In Investing Activities Discontinued Operations" 2022-01-01 - 2023-01-01: -3123000000 EUR "Cash Flows From Used In Investing Activities Discontinued Operations" 2021-01-01 - 2022-01-01: -3003000000 EUR "Cash Flows From Used In Investing Activities" 2022-01-01 - 2023-01-01: -4290000000 EUR "Cash Flows From Used In Investing Activities" 2021-01-01 - 2022-01-01: -11042000000 EUR "Dividends Paid Classified As Financing Activities" 2022-01-01 - 2023-01-01: 2665000000 EUR "Dividends Paid Classified As Financing Activities" 2021-01-01 - 2022-01-01: 1859000000 EUR "Repayment Of Borrowings And Debt" 2022-01-01 - 2023-01-01: 10972000000 EUR "Repayment Of Borrowings And Debt" 2021-01-01 - 2022-01-01: 5054000000 EUR "Change In Financial Assets Held For Investment And Financing Purposes" 2022-01-01 - 2023-01-01: -188000000 EUR "Change In Financial Assets Held For Investment And Financing Purposes" 2021-01-01 - 2022-01-01: -464000000 EUR "Interest Paid Classified As Financing Activities" 2022-01-01 - 2023-01-01: 822000000 EUR "Interest Paid Classified As Financing Activities" 2021-01-01 - 2022-01-01: 719000000 EUR "Interest Received On Cash And Cash Equivalents" 2022-01-01 - 2023-01-01: -194000000 EUR "Interest Received On Cash And Cash Equivalents" 2021-01-01 - 2022-01-01: -52000000 EUR "Cash Flow On Derivatives Qualifying As Net Investment Hedges And Compensation Payments On Derivatives And On Early Buyback Of Borrowings" 2022-01-01 - 2023-01-01: 216000000 EUR "Cash Flow On Derivatives Qualifying As Net Investment Hedges And Compensation Payments On Derivatives And On Early Buyback Of Borrowings" 2021-01-01 - 2022-01-01: 219000000 EUR "Proceeds From Borrowings Classified As Financing Activities" 2022-01-01 - 2023-01-01: 8669000000 EUR "Proceeds From Borrowings Classified As Financing Activities" 2021-01-01 - 2022-01-01: 8353000000 EUR "Increase Decrease In Capital" 2022-01-01 - 2023-01-01: 259000000 EUR "Increase Decrease In Capital" 2021-01-01 - 2022-01-01: -226000000 EUR "Purchase And Or Sale Of Treasury Stock" 2022-01-01 - 2023-01-01: 115000000 EUR "Purchase And Or Sale Of Treasury Stock" 2021-01-01 - 2022-01-01: 0 EUR "Changes In Ownership Interests In Controlled Entities" 2022-01-01 - 2023-01-01: 0 EUR "Changes In Ownership Interests In Controlled Entities" 2021-01-01 - 2022-01-01: -1085000000 EUR "Cash Flows From Used In Financing Activities Continuing Operations" 2022-01-01 - 2023-01-01: -5997000000 EUR "Cash Flows From Used In Financing Activities Continuing Operations" 2021-01-01 - 2022-01-01: 2329000000 EUR "Cash Flows From Used In Financing Activities Discontinued Operations" 2022-01-01 - 2023-01-01: 3019000000 EUR "Cash Flows From Used In Financing Activities Discontinued Operations" 2021-01-01 - 2022-01-01: 2519000000 EUR "Cash Flows From Used In Financing Activities" 2022-01-01 - 2023-01-01: -2979000000 EUR "Cash Flows From Used In Financing Activities" 2021-01-01 - 2022-01-01: 4848000000 EUR "Effects Of Changes In Exchange Rates And Other Relating To Continuing Operations" 2022-01-01 - 2023-01-01: 356000000 EUR "Effects Of Changes In Exchange Rates And Other Relating To Continuing Operations" 2021-01-01 - 2022-01-01: 223000000 EUR "Effects Of Changes In Exchange Rates And Other Relating To Discontinued Operations" 2022-01-01 - 2023-01-01: 7000000 EUR "Effects Of Changes In Exchange Rates And Other Relating To Discontinued Operations" 2021-01-01 - 2022-01-01: 10000000 EUR "Effect Of Exchange Rate Changes On Cash And Cash Equivalents" 2022-01-01 - 2023-01-01: 363000000 EUR "Effect Of Exchange Rate Changes On Cash And Cash Equivalents" 2021-01-01 - 2022-01-01: 233000000 EUR "Increase Decrease In Cash And Cash Equivalents" 2022-01-01 - 2023-01-01: 1680000000 EUR "Increase Decrease In Cash And Cash Equivalents" 2021-01-01 - 2022-01-01: 1352000000 EUR "Increase Decrease In Cash And Cash Equivalents Discontinued Operations" 2022-01-01 - 2023-01-01: 0 EUR "Increase Decrease In Cash And Cash Equivalents Discontinued Operations" 2021-01-01 - 2022-01-01: -440000000 EUR "Cash And Cash Equivalents" 2021-01-01: 12980000000 EUR "Name Of Reporting Entity Or Other Means Of Identification" "fr" 2022-01-01 - 2023-01-01: ENGIE "Legal Form Of Entity" "fr" 2022-01-01 - 2023-01-01: Société Anonyme à Conseil d’Administration "Length Of Life Of Limited Life Entity" "fr" 2022-01-01 - 2023-01-01: Elle a été constituée le 20 novembre 2004 pour une durée de 99 ans "Address Of Registered Office Of Entity" "fr" 2022-01-01 - 2023-01-01: Le siège du Groupe est domicilié au 1, place Samuel de Champlain -92400 Courbevoie (France) "Principal Place Of Business" "fr" 2022-01-01 - 2023-01-01: France "Domicile Of Entity" "fr" 2022-01-01 - 2023-01-01: France "Country Of Incorporation" "fr" 2022-01-01 - 2023-01-01: France "Dividends Recognised As Distributions To Owners Per Share" 2022-01-01 - 2023-01-01: 0.85 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: 1.4 EUR/shares "Dividends Proposed Or Declared Before Financial Statements Authorised For Issue But Not Recognised As Distribution To Owners" 2022-01-01 - 2023-01-01: 3389000000 EUR Which of the three issuers should a bank engage first, which second and which third to originate a hybrid bond transaction? Prioritize the most promising prospects. Start with your reasoning. At the end, give your final answer on a single line between XML tags with no markdown fences, no units, and no prose. This final line will be one of: A,B,C A,C,B B,A,C B,C,A C,A,B C,B,A