Bond Financings

MTN Programms

Base Prospectus and supplements

2023: Base Prospectus on July 28, 2023

2022: Base Prospectus on July 13, 2022

First Supplement to the Base Prospectus of July 13, 2022

2021: Base Prospectus on June 16, 2021           First Supplement to the Base Prospectus of June 16, 2021
Second Supplement to the Base Prospectus of June 16, 2021

 

2020: Base Prospectus on June 9, 2020

2019: Base Prospectus on April 11,2019 - PDF

2018: Base Prospectus on July 13, 2018 - PDF

2017: Base Prospectus on July 12, 2017 - PDF

2016: Base Prospectus on July 27, 2016 - PDF

2015: Base Prospectus on July 17, 2015 - PDF

2014: Base Prospectus on July 17, 2014 - PDF

2013: Base Prospectus on July 17, 2013 - PDF

2012: Base Prospectus on September 19, 2012 - PDF

2011: Base Prospectus on July 20, 2011 - PDF

Final Terms

€1bn 3.75% 2026 Notes (dated 27 November 2023) - PDF

€1bn 3.875% 2030 Notes (dated 27 November 2023) - PDF

€500m floating rate 2024 Notes (dated 16 January 2023) - PDF

€650m 3.50% 2029 Notes (dated 16 January 2023) - PDF

€500m 1.625% 2025 Notes (dated 8 August 2022) - PDF

€500m 2.125% 2028 Notes (dated 8 August 2022) - PDF

Sustainability-Linked Bonds Documentation

July 2022: Sustainability Financing Framework - PDF

July 27, 2022: Second Party Opinion (SPO) by ISS ESG - PDF

Final Drawdawn Prospectus (8 August 2022) - PDF

August 1, 2022: Bond Investor Presentation - PDF

Tender offers

GBP300,000,000 5.625 per cent. notes due November 2024 (ISIN: XS0274270817)

Results of the tender offer for bonds launched on May 6, 2022