Currency. Amount
Out. (mn)
Coupon (%) Maturity date Issue date ISIN Download
USD10003.625%12 Jan 202312 Dec 2012XS0863524277 (RegS) /
US00386SAL60 (144A)
Bond Prospectus
EUR1802.750%02 May 202402 May 2014XS1063422619Final Terms Base Prospectus
USD7503.875%06 May 202406 May 2014XS1017435352 (RegS) /
US00386SAM44 (144A)
Final Terms Base Prospectus
USD7504.375%23 Apr 202523 Apr 2018XS1808737594 (RegS) /
US00388WAF86 (144A)
Final Terms Base Prospectus
USD1,0004.375%22 Jun 202622 Jun 2016XS1435072464 (RegS) /
US00388WAC55 (144A)
Final Terms Final Terms (Tap) Base Prospectus
USD7502.000%29 Apr 202829 Apr 2021XS2333388184 (RegS) /
US00388WAJ09 (144A)
Final Terms Prospectus Supplement Base Prospectus
USD1,0004.875%23 Apr 203023 Apr 2018XS1808738212 (RegS) /
US00388WAG69 (144A)
Final Terms Base Prospectus
USD9126.500%27 Oct 203627 Oct 2016XS0272949016 (RegS) /
US00386SAB88 (144A)
Bond Prospectus
USD5004.000%03 Oct 204903 Oct 2019XS2060897506 (RegS) /
US00388WAH43 (144A)
Final Terms Base Prospectus
USD7503.400%29 Apr 205129 Apr 2021XS2333388937 (RegS) /
US00388WAK71 (144A)
Final Terms Prospectus Supplement Base Prospectus
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