PRINCIPALES BONOS EMITIDOS
CÓDIGO ISIN | IMPORTE VIVO | EMISIÓN | CUPÓN | VENCIMIENTO | CONDICIONES |
---|---|---|---|---|---|
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] |
XS2089171537 | 100.000.000 EUR | 04/12/2019 | Euribor 3 meses + 0,65% | 04/12/2023 | Descargar [PDF] |
XS0410370919 | 500.000.000 GBP | 29/01/2009 | 7,375% | 29/01/2024 | Descargar [PDF] |
XS1564443759 | 250.000.000 EUR | 20/02/2017 | Euribor 3 meses + 0,67% | 20/02/2024 | Descargar I [PDF] Descargar II [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] |
XS1837198156 | 30.000.000 EUR | 13/06/2018 | 1,128% | 13/06/2025 | Descargar [PDF] |
XS2153405118 | 750.000.000 EUR | 14/04/2020 | 0,875% | 16/06/2025 | Descargar [PDF] |
XS1490726590 | 700.000.000 EUR | 15/09/2016 | 0,375% | 15/09/2025 | Descargar [PDF] |
XS1924319301 | 50.000.000 USD | 21/12/2018 | 3,724% | 08/12/2025 | 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] |
XS1847692636 | 750.000.000 EUR | 28/06/2018 | 1,25% | 28/10/2026 | Descargar [PDF] |
XS1615677108 | 1.000.000.000 NOK | 18/05/2017 | 2,70% | 18/05/2027 | Descargar [PDF] |
XS1682538183 | 750.000.000 EUR | 13/09/2017 | 1,25% | 13/09/2027 | Descargar [PDF] |
XS1815308470 | 800.000.000 NOK | 03/05/2018 | 3,01% | 03/05/2028 | Descargar [PDF] |
XS1568849282 | 100.000.000 EUR | 20/02/2017 | 1,667% | 10/02/2029 | Descargar I [PDF] Descargar II [PDF] |
XS1726152108 | 575.000.000 EUR | 29/11/2017 | 1,621% | 29/11/2029 | Descargar I [PDF] Descargar II [PDF] Descargar III [PDF] Descargar IV [PDF] |
XS1610777556 | 60.000.000 EUR | 10/05/2017 | 1,782% | 30/10/2030 | Descargar I [PDF] Descargar II [PDF] |