Programmes and Issuances

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

Documents

Other Relevant Information

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

Documents

Other Relevant Information

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

Documents

Relevants facts

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

Documents

Relevants facts

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