Fixed Income Information

This section provides information about our debt capital market transactions since May 2008.

ISIN NumberCurrencyNominal Amount
Coupon
Issue DateMaturity DateOffering Format
US718172AX75
USD
400,000,000
Float
Mar 4, 2013
Feb 26, 2015
S-3 Shelf
XS0385771158
EUR
750,000,000
5.875%
Sep 4, 2008
Sep 4, 2015
S-3 Shelf
XS0419195408
EUR
750,000,000
5.750%
Mar 24, 2009
Mar 24, 2016
EMTN
US718172AJ81
USD
1,250,000,000
2.500%
May 16, 2011
May 16, 2016
S-3 Shelf
CH0136594360
CHF
325,000,000
1.000%
Dec 6, 2011
Dec 6, 2016
Stand alone
US718172AN93
USD
550,000,000
1.625%
Mar 20, 2012
Mar 20, 2017
S-3 Shelf
US718172AS80
USD
750,000,000
1.125%
Aug 21, 2012
Aug 21, 2017
S-3 Shelf
US718172AA72
USD
2,500,000,000
5.650%
May 16, 2008
May 16, 2018
S-3 Shelf
US718172BF50
USD
750,000,000
1.875%
Nov 12, 2013
Jan 15, 2019
S-3 Shelf
CH0206903764
CHF
200,000,000
0.875%
Mar 11, 2013
Mar 11, 2019
Stand alone
XS0787510618
EUR
750,000,000
2.125%
May 30, 2012
May 30, 2019
S-3 Shelf
XS0906815088
EUR
1,250,000,000
1.750%
Mar 19, 2013
Mar 19, 2020
S-3 Shelf
US718172AH26
USD
1,000,000,000
4.500%
Mar 26, 2010
Mar 26, 2020
S-3 Shelf
CH0193296990
CHF
325,000,000
1.000%
Sep 18, 2012
Sep 18, 2020
Stand alone
XS1040104231
EUR
750,000,000
1.875%
Mar 03, 2014
Mar 03, 2021
S-3 Shelf
US718172AK54
USD
350,000,000
4.125%
May 16, 2011
May 17, 2021
S-3 Shelf
US718172AL38
USD
750,000,000
2.900%
Nov 15, 2011
Nov 15, 2021
S-3 Shelf
CH0136594386
CHF
300,000,000
2.000%
Dec 6, 2011
Dec 6, 2021
Stand alone
US718172AT63
USD
750,000,000
2.500%
Aug 21, 2012
Aug 22, 2022
S-3 Shelf
US718172AV10
USD
600,000,000
2.625%
Mar 4, 2013
Mar 6, 2023
S-3 Shelf
US718172BE85
USD
500,000,000
3.600%
Nov 12, 2013
Nov 15, 2023
S-3 Shelf
XS0787527349
EUR
600,000,000
2.875%
May 30, 2012
May 30, 2024
S-3 Shelf
XS0906815591
EUR
750,000,000
2.750%
Mar 19, 2013
Mar 19, 2025
S-3 Shelf
XS1040105980
EUR
1,000,000,000
2.875%
Mar 03, 2014
Mar 03, 2026
S-3 Shelf
XS0940697187
EUR
500,000,000
3.125%
Jun 3, 2013
Jun 3, 2033
S-3 Shelf
US718172AC39
USD
1,500,000,000
6.375%
May 16, 2008
May 16, 2038
S-3 Shelf
US718172AM11
USD
750,000,000
4.375%
Nov 15, 2011
Nov 15, 2041
S-3 Shelf
US718172AP42
USD
700,000,000
4.500%
Mar 20, 2012
Mar 20, 2042
S-3 Shelf
US718172AU37
USD
750,000,000
3.875%
Aug 21, 2012
Aug 21, 2042
S-3 Shelf
US718172AW92
USD
850,000,000
4.125%
Mar 4, 2013
Mar 4, 2043
S-3 Shelf
US718172BD03
USD
750,000,000
4.875%
Nov 12, 2013
Nov 15, 2043
S-3 Shelf

For more information on the above financial instruments, please contact your financial institution or broker or refer to the web site of the SEC, NYSE Euronext or London Stock Exchange.

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April 17, 2014 4:02 p.m. ET

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