Bond Issues
Bonds
Select an option
EUR 1,500 MM
Issued Sept, 2025 | ISIN XS3171589040
7 yr • 3.125% • Maturity: 2032
USD 1,000 MM
Issued Jun, 2025 | ISIN US219868CN40
3 yr • 4.125% • Maturity: 2028
GBP 1,000 MM
Issued Jan, 2025 | ISIN XS2989779231
5 yr • 4.875% • Maturity: 2030
USD 2,000 MM
Issued Jan, 2025 | ISIN US219868CL83
5 yr • 5.000% • Maturity: 2030
Recent Benchmark Issuances
Schedule 1
EUR 1,500 MM
7 yr | 3.125% | Maturity: 2032
Issued Sept, 2025
ISIN XS3171589040
Schedule 2
USD 1,000 MM
3 yr | 4.125% | Maturity: 2028
Issued Jun, 2025
ISIN US219868CN40
Schedule 3
GBP 1,000 MM
5 yr | 4.875% | Maturity: 2030
Issued Jan, 2025
ISIN XS2989779231
Schedule 4
USD 2,000 MM
5 yr | 5.000% | Maturity: 2030
Issued Jan, 2025
ISIN US219868CL83
Awards