2021
2020
2018
2016
2015
Issuances
2021
“€200,000,000 0.00% Exchangeable Bonds due 2025” |
Amount: 200,000,000€ Issue Date: 06/22/2021 Coupon: 0.00% Maturity Date: 06/22/2025 ISIN: XS2356306642 |
2020
“€600,000,000 0.875% Senior Notes due 2027” |
Amount: 600,000,000 € Issue Date: 10/28/2020 Coupon: 0.875% Maturity Date: 10/28/2027 Rating: Baa2 (stable) by Moody’s and BBB+ (negative) by Fitch. ISIN: ES0205045026 |
2019
“€600,000,000 1.375% Senior Notes due 2024” |
Amount: 600,000,000 € Issue Date: 10/04/2019 Coupon: 1,375% Maturity Date: 10/04/2024 Rating: Baa2 (stable) by Moody’s and BBB (positive) by Fitch. ISIN: ES0305045009 |
2017
“€750,000,000 1.50% Senior Notes due 2023” |
Amount: 750,000,000 € Issue Date: 10/05/2017 Coupon: 1,500% Maturity Date: 10/05/2023 Rating: BBB (Fitch) ISIN: ES0205045018 |
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