PRINCIPALES BONOS EMITIDOS

Emisiones de los principales bonos con la garantía incondicional e irrevocable de Iberdrola, S.A. y que cotizan en la Bolsa de Luxemburgo
CÓDIGO ISIN IMPORTE VIVO EMISIÓN CUPÓN VENCIMIENTO CONDICIONES
XS0829209195 303.600.000 EUR 21/09/2012 4,500% 21/09/2017 Descargar [PDF]
XS0353237919 50.000.000 EUR 26/03/2008 5,200% 26/03/2018 Descargar [PDF]
XS0362224841 665.800.000 EUR 09/05/2008 5,625% 09/05/2018 Descargar [PDF]
XS0767977811 768.400.000 EUR 11/04/2012 4,250% 11/10/2018 Descargar [PDF]
XS0426981055 50.000.000 EUR 11/05/2009 Tipo ligado a inflación IPC francés 11/05/2019 Descargar [PDF]
XS0431821882 125.000.000 EUR 04/06/2009 5,500% 04/06/2019 Descargar [PDF]
XS0426975834 120.000.000 EUR 11/05/2009 5,285% 30/09/2019 Descargar [PDF]
XS0706674529 10.000.000.000 JPY 18/11/2011 2,510% 18/11/2019 Descargar [PDF]
XS0494868630 1.100.000.000 EUR 23/03/2010 4,125% 23/03/2020 Descargar [PDF]
XS0940711947 600.000.000 EUR 11/06/2013 2,875% 11/11/2020 Descargar [PDF]
XS0879869187 1.000.000.000 EUR 01/02/2013 3,500% 01/02/2021 Descargar [PDF]
XS0990109240 500.000.000 EUR 13/11/2013 3,000% 31/01/2022 Descargar [PDF]
XS0756710678 32.000.000 EUR 04/04/2012 4,100% 04/04/2022 Descargar [PDF]
XS0435791180 200.000.000 GBP 01/07/2009 6,000% 01/07/2022 Descargar [PDF]
XS1057055060 750.000.000 EUR 24/04/2014 2,500% 24/10/2022 Descargar [PDF]
XS0160020540 20.000.000 EUR 27/12/2002 5,800% 27/12/2022 Descargar [PDF]
XS1171541813 600.000.000 EUR 27/01/2015 1,125% 27/01/2023 Descargar [PDF]
XS1361165332 50.000.000 EUR 15/02/2016 Euribor 6 meses + 0,75% 15/02/2023 Descargar [PDF]
XS0350850177 100.000.000 EUR 10/03/2008 5,808% 10/03/2023 Descargar [PDF]
XS0354615402 3.000.000.000 JPY 31/03/2008 2,670% 31/03/2023 Descargar [PDF]
XS0943395888 450.000.000 NOK 11/06/2013 4,750% 11/06/2023 Descargar [PDF]
XS1291004270 500.000.000 EUR 17/09/2015 1,750% 17/09/2023 Descargar [PDF]
XS0410370919 500.000.000 GBP 29/01/2009 7,375% 29/01/2024 Descargar [PDF]
XS1564443759 100.000.000 EUR 20/02/2017 Euribor 3 meses + 0,67% 20/02/2024 Descargar [PDF]
XS1527758145 750.000.000 EUR 07/12/2016 1,000% 07/03/2024 Descargar [PDF]
XS1116408235 500.000.000 EUR 08/10/2014 1,875% 08/10/2024 Descargar [PDF]
XS1575444622 1.000.000.000 EUR 07/03/2017 1,000% 07/03/2025 Descargar [PDF]
XS1490726590 700.000.000 EUR 15/09/2016 0,375% 15/09/2025 Descargar [PDF]
XS1398476793 1.000.000.000 EUR 21/04/2016 1,125% 21/04/2026 Descargar [PDF]
XS1433521884 200.000.000 EUR 16/06/2016 Euribor 3 meses + 0,35% 16/06/2026 Descargar [PDF]
XS1568849282 100.000.000 EUR 20/02/2017 1,667% 10/02/2029 Descargar I [PDF] Descargar II [PDF]
XS0254615411 15.000.000.000 JPY 25/05/2006 3,070% 25/05/2036 Descargar [PDF]