Bond issues 2022

 
Settlement date
2022-11-22 
Currency
USD
Amount
1,500,000,000
Coupon
4.75%
Maturity
2024-05-24
Serie
DIP 1622
final terms / term sheet
Settlement date
2022-11-21 
Currency
GBP
Amount
50,000,000
Coupon
2.00%
Maturity
2024-04-12
Serie
DIP 1621
final terms / term sheet
Settlement date
2022-11-17 
Currency
GBP
Amount
25,000,000
Coupon
2.00%
Maturity
2024-04-12
Serie
DIP 1620
final terms / term sheet
Settlement date
2022-10-19 
Currency
EUR 
Amount
100,000,000
Coupon
1.50%
Maturity
2039-07-15 
Serie
DIP 1619 
final terms / term sheet
Settlement date
2022-10-10 
Currency
EUR 
Amount
50,000,000
Coupon
0.125%
Maturity
2033-04-19
Serie
DIP 1618
final terms / term sheet
Settlement date
2022-10-07 
Currency
EUR
Amount
50,000,000
Coupon
1.25% 
Maturity
2037-03-30
Serie
DIP 1617
final terms / term sheet
Settlement date
2022-10-06 
Currency
EUR
Amount
100,000,000 
Coupon
1.25%
Maturity
2037-03-30
Serie
DIP 1616
final terms / term sheet
Settlement date
2022-10-04
Currency
EUR
Amount
1,500,000,000
Coupon
2.75%
Maturity
2027-10-04
Serie
DIP 1615
final terms / term sheet
Settlement date
2022-10-04
Currency
EUR
Amount
70,000,000
Coupon
3.193%
Maturity
2037-10-04
Serie
DIP 1613
final terms / term sheet
Settlement date
2022-09-29 
Currency
EUR 
Amount
50,000,000
Coupon
1.50% 
Maturity
2038-03-29
Serie
DIP 1614
final terms / term sheet
Settlement date
2022-09-28 
Currency
GBP 
Amount
50,000,000
Coupon
2.00%
Maturity
2024-04-12 
Serie
DIP 1612
final terms / term sheet
Settlement date
2022-09-28 
Currency
EUR
Amount
100,000,000
Coupon
0.25%
Maturity
2036-11-22
Serie
DIP 1611
final terms / term sheet
Settlement date
2022-09-22 
Currency
GBP
Amount
50,000,000
Coupon
2.00%
Maturity
2024-04-12 
Serie
DIP 1610(I)(II)
final terms / term sheet
Settlement date
2022-09-07
Currency
EUR 
Amount
200,000,000
Coupon
0.875% 
Maturity
2036-10-24
Serie
DIP 1609
final terms / term sheet
Settlement date
2022-09-06 
Currency
EUR
Amount
50,000,000
Coupon
0.875%
Maturity
2035-10-17
Serie
DIP 1608
final terms / term sheet
Settlement date
2022-08-31 
Currency
EUR 
Amount
750,000,000
Coupon
1.875%
Maturity
2032-07-13
Serie
DIP 1607
final terms / term sheet
Settlement date
2022-08-31 
Currency
GBP
Amount
50,000,000 
Coupon
1.625%
Maturity
2025-08-26
Serie
DIP 1606
final terms / term sheet
Settlement date
2022-08-29
Currency
EUR
Amount
35,000,000
Coupon
1.50%
Maturity
2038-03-29
Serie
DIP 1605
final terms / term sheet
Settlement date
2022-08-26
Currency
GBP
Amount
50,000,000
Coupon
1.625%
Maturity
2025-08-26
Serie
DIP 1604
final terms / term sheet
Settlement date
2022-08-26
Currency
USD
Amount
1,000,000,000
Coupon
3.50%
Maturity
2024-08-26
Serie
DIP 1603
final terms / term sheet
Settlement date
2022-08-23 
Currency
EUR
Amount
50,000,000
Coupon
0.805%
Maturity
2049-06-28
Serie
DIP 1602 
final terms / term sheet
Settlement date
2022-08-19 
Currency
GBP 
Amount
80,000,000
Coupon
2.00% 
Maturity
2024-04-12 
Serie
DIP 1601 
final terms / term sheet
Settlement date
2022-08-18 
Currency
EUR
Amount
30,000,000
Coupon
1.50%
Maturity
2039-07-15
Serie
DIP 1600
final terms / term sheet
Settlement date
2022-08-18 
Currency
EUR
Amount
50,000,000
Coupon
0.875%
Maturity
2036-10-24 
Serie
DIP 1599
final terms / term sheet
Settlement date
2022-08-16 
Currency
AUD
Amount
50,000,000
Coupon
1.60%
Maturity
2030-11-27
Serie
MTN-AUS 184
final terms / term sheet
Settlement date
2022-08-12 
Currency
EUR
Amount
50,000,000
Coupon
0.125% 
Maturity
2033-04-19 
Serie
DIP 1598
final terms / term sheet
Settlement date
2022-08-10 
Currency
AUD 
Amount
25,000,000
Coupon
3.30% 
Maturity
2029-04-26 
Serie
MTN-AUS 183 
final terms / term sheet
Settlement date
2022-08-09 
Currency
EUR
Amount
80,000,000
Coupon
0.125%
Maturity
2033-04-19 
Serie
DIP 1597
final terms / term sheet
Settlement date
2022-08-05
Currency
USD
Amount
50,000,000
Coupon
SOFR + 1.00%
Maturity
2026-08-05
Serie
DIP 1596
final terms / term sheet
Settlement date
2022-07-21 
Currency
EUR 
Amount
50,000,000 
Coupon
1.25% 
Maturity
2027-03-30
Serie
DIP 1595
final terms / term sheet
Settlement date
2022-07-19
Currency
AUD
Amount
25,000,000
Coupon
3.50%
Maturity
2027-07-19
Serie
MTN-AUS 182
final terms / term sheet
Settlement date
2022-07-19
Currency
EUR
Amount
100,000,000
Coupon
0.25%
Maturity
2036-11-22
Serie
DIP 1594
final terms / term sheet
Settlement date
2022-07-18
Currency
GBP
Amount
50,000,000
Coupon
2.00%
Maturity
2024-04-12
Serie
DIP 1593
final terms / term sheet
Settlement date
2022-07-13 
Currency
EUR
Amount
1,000,000,000
Coupon
1.875%
Maturity
2032-07-13 
Serie
DIP 1592 
final terms / term sheet
Settlement date
2022-06-24 
Currency
AUD
Amount
25,000,000 
Coupon
3.50% 
Maturity
2027-07-19 
Serie
MTN-AUS 181 
final terms / term sheet
Settlement date
2022-05-27 
Currency
AUD 
Amount
30,000,000
Coupon
1.60% semi-annually
Maturity
2027-11-30 
Serie
MTN-AUS 180 
final terms / term sheet
Settlement date
2022-05-18 
Currency
EUR
Amount
40,000,000
Coupon
Step-up 
Maturity
2027-05-18 
Serie
DIP 1295 
final terms / term sheet
Settlement date
2022-05-11 
Currency
GBP
Amount
150,000,000 
Coupon
1.625%
Maturity
2025-08-26
Serie
DIP 1591 
final terms / term sheet
Settlement date
2022-05-04
Currency
EUR
Amount
290,000,000
Coupon
1.5%
Maturity
2038-03-29
Serie
DIP 1590
final terms / term sheet
Settlement date
2022-05-03 
Currency
EUR
Amount
75,000,000
Coupon
1.5%
Maturity
2039-07-15
Serie
DIP 1589
final terms / term sheet
Settlement date
2022-04-26 
Currency
EUR
Amount
100,000,000
Coupon
0.875%
Maturity
2035-10-17
Serie
DIP 1588
final terms / term sheet
Settlement date
2022-04-27 
Currency
AUD
Amount
45,000,000 
Coupon
1.55%
Maturity
2032-02-19
Serie
MTN-AUS 179
final terms / term sheet
Settlement date
2022-04-26 
Currency
EUR
Amount
50,000,000
Coupon
0.875%
Maturity
2036-10-24
Serie
DIP 1587
final terms / term sheet
Settlement date
2022-04-25
Currency
EUR
Amount
50,000,000 
Coupon
0.805%
Maturity
2049-06-28 
Serie
DIP 1586 
final terms / term sheet
Settlement date
2022-04-25 
Currency
GBP
Amount
150,000,000
Coupon
2.00%
Maturity
2024-04-12 
Serie
DIP 1585
final terms / term sheet
Settlement date
2022-04-22 
Currency
GBP
Amount
25,000,000
Coupon
0.375%
Maturity
2025-12-25 
Serie
DIP 1584
final terms / term sheet
Settlement date
2022-04-22 
Currency
GBP
Amount
25,000,000
Coupon
1,625%
Maturity
2025-08-26
Serie
DIP 1583
final terms / term sheet
Settlement date
2022-04-21 
Currency
EUR
Amount
50,000,000
Coupon
0,875%
Maturity
2035-10-17
Serie
DIP 1582
final terms / term sheet
Settlement date
2022-04-21 
Currency
GBP
Amount
25,000,000
Coupon
2,00%
Maturity
2024-04-12
Serie
DIP 1581
final terms / term sheet
Settlement date
2022-04-21 
Currency
GBP
Amount
25,000,000
Coupon
1,625%
Maturity
2025-08-26
Serie
DIP 1580
final terms / term sheet
Settlement date
2022-04-20 
Currency
GBP
Amount
25,000,000
Coupon
1,625%
Maturity
2025-08-26
Serie
DIP 1579
final terms / term sheet
Settlement date
2022-04-19 
Currency
EUR
Amount
215,000,000
Coupon
0,875%
Maturity
2036-10-24
Serie
DIP 1578
final terms / term sheet
Settlement date
2022-04-12 
Currency
GBP
Amount
325,000,000
Coupon
2.00%
Maturity
2024-04-12
Serie
DIP 1577
final terms / term sheet
Settlement date
2022-04-06
Currency
GBP
Amount
25,000,000
Coupon
0.375%
Maturity
2025-12-15
Serie
DIP 1576
final terms / term sheet
Settlement date
2022-03-30
Currency
EUR
Amount
1,000,000,000
Coupon
1.25%
Maturity
2037-03-30
Serie
DIP 1575
final terms / term sheet
Settlement date
2022-03-16 
Currency
EUR
Amount
275,000,000
Coupon
1.50%
Maturity
2039-07-15
Serie
DIP 1574
final terms / term sheet
Settlement date
2022-03-16 
Currency
EUR
Amount
250,000,000
Coupon
0.250%
Maturity
2032-01-12
Serie
DIP 1573
final terms / term sheet
Settlement date
2022-03-15
Currency
EUR
Amount
250,000,000 
Coupon
0.125%
Maturity
2035-07-09
Serie
DIP 1572
final terms / term sheet
Settlement date
2022-03-14
Currency
EUR
Amount
75,000,000
Coupon
0.875
Maturity
2035-10-17
Serie
DIP 1571
final terms / term sheet
Settlement date
2022-03-02 
Currency
EUR
Amount
30,000,000
Coupon
Step-up
Maturity
2026-03-02
Serie
DIP 1323(I)(II)
final terms / term sheet
Settlement date
2022-02-18 
Currency
EUR
Amount
1,040,000,000
Coupon
0.125%
Maturity
2026-04-11
Serie
DIP 1570
final terms / term sheet
Settlement date
2022-02-18
Currency
EUR 
Amount
350,000,000
Coupon
0.125% 
Maturity
2026-04-11 
Serie
DIP 1569
final terms / term sheet
Settlement date
2022-02-24 
Currency
EUR
Amount
30,000,000
Coupon
Step-up
Maturity
2027-02-24
Serie
DIP 1285(I)(II)
final terms / term sheet
Settlement date
2022-02-09 
Currency
EUR
Amount
50,000,000
Coupon
0.125%
Maturity
2026-04-11
Serie
DIP 1568
final terms / term sheet
Settlement date
2022-02-11 
Currency
CAD 
Amount
300,000,000
Coupon
1.80% semi-annually
Maturity
2025-02-11
Serie
DIP 1567
final terms / term sheet
Settlement date
2022-02-07
Currency
EUR
Amount
50,000,000
Coupon
1.5%
Maturity
2039-07-15
Serie
DIP 1566
final terms / term sheet
Settlement date
2022-02-03 
Currency
EUR
Amount
110,000,000
Coupon
0.125%
Maturity
2026-04-11
Serie
DIP 1565
final terms / term sheet
Settlement date
2022-02-02
Currency
EUR
Amount
100,000,000
Coupon
0.00%
Maturity
2031-01-20 
Serie
DIP 1564
final terms / term sheet
Settlement date
2022-02-01
Currency
EUR
Amount
80,000,000
Coupon
0.75%
Maturity
2029-01-24
Serie
DIP 1563
final terms / term sheet
Settlement date
2022-01-31 
Currency
EUR
Amount
250,000,000 
Coupon
0.50%
Maturity
2025-04-16 
Serie
DIP 1562
final terms / term sheet
Settlement date
2022-01-25 
Currency
EUR
Amount
350,000,000 
Coupon
0.125%
Maturity
2026-04-11
Serie
DIP 1561
final terms / term sheet
Settlement date
2022-01-21
Currency
AUD
Amount
500,000,000 
Coupon
2.45% semi-annually
Maturity
2032-07-21
Serie
MTN-AUS 178 
final terms / term sheet
Settlement date
2022-01-20 
Currency
GBP 
Amount
325,000,000 
Coupon
1.625% 
Maturity
2025-08-26 
Serie
DIP 1560 
final terms / term sheet
Settlement date
2022-01-25 
Currency
EUR
Amount
13,000,000 
Coupon
Step-up 
Maturity
2027-01-25
Serie
DIP 1276
final terms / term sheet
Settlement date
2022-01-14 
Currency
EUR 
Amount
50,000,000
Coupon
0.805%
Maturity
2049-06-28 
Serie
DIP 1559 
final terms / term sheet
Settlement date
2022-01-18
Currency
EUR 
Amount
70,000,000
Coupon
0.50% 
Maturity
2027-01-18 
Serie
DIP 1273 (I)(II) 
final terms / term sheet
Settlement date
2022-01-12
Currency
EUR 
Amount
1,750,000,000 
Coupon
0.25% 
Maturity
2032-01-12 
Serie
DIP 1558 
final terms / term sheet