Bonds
Volume (€ million) |
Format | Issue Date | Maturity Date | Coupon | ISIN no. |
---|---|---|---|---|---|
500 | DIP | Mar. 10, 2016 | Sep. 25, 2024 | 1.75% | XS1377745937 Final Terms |
500 | DIP | Jun. 12, 2020 | Feb. 3, 2026 | 0.875% | XS2188805688 Final Terms |
500 | DIP | Jun. 12, 2020 | Jun. 12, 2030 | 1.375% | XS2188805845 Final Terms |
500 | DIP | Nov. 15, 2022 | Nov. 15, 2028 | 4.75% | XS2554997937 Final Terms Allocation Report Impact Report |