Debt investors.
1. Prospectus & supplements
Base prospectus
Supplements
Ayvens First supplement dated 21 August 2024 to the base prospectus dated 4 July 2024
21 Aug 2024 - 354 KB - PDF
Ayvens Fifth Supplement dated 14 May 2024 to the base prospectus dated 12 June 2023
27 May 2024 - 123 KB - PDF
ALD First supplement dated 5 January 2023 to the Base Prospectus dated 31 August 2022
5 Jan 2023 - 85 KB - PDF
ALD First supplement dated 8 June 2022 to the EMTN Programme Base Prospectus dated 9 July 2021
8 Jun 2022 - 153 KB - PDF
ALD Second supplement dated 21 February 2022 to the EMTN Programme Base Prospectus dated 9 July 2021
21 Feb 2022 - 72 KB - PDF
ALD First supplement dated 26 November 2021 to the EMTN Programme Base Prospectus dated 9 July 2021
26 Nov 2021 - 61 KB - PDF
ALD Second supplement dated 12 February 2021 to the EMTN Programme Base Prospectus dated 25 June 2020
12 Feb 2021 - 166 KB - PDF
ALD First supplement dated 3 September 2020 to the EMTN Programme Base Prospectus dated 25 June 2020
3 Sept 2020 - 88 KB - PDF
ALD Second supplement dated 18 November 2019 to the EMTN Programme Base Prospectus dated 27 June 2019
18 Nov 2019 - 133 KB - PDF
ALD First supplement dated 27 August 2019 to the EMTN Programme Base Prospectus dated 27 June 2019
27 Aug 2019 - 194 KB - PDF
ALD Third supplement dated 10 May 2019 to the EMTN Programme Base Prospectus dated 26 June 2018
10 May 2019 - 288 KB - PDF
ALD Second supplement dated 16 November 2018 to the EMTN Programme Base Prospectus dated 26 June 2018
16 Nov 2018 - 128 KB - PDF
ALD First supplement dated 30 August 2018 to the EMTN Programme Base Prospectus dated 26 June 2018
30 Aug 2018 - 124 KB - PDF
ALD Third supplement dated 17 May 2018 to the EMTN Programme Base Prospectus dated 26 June 2017
17 May 2018 - 115 KB - PDF
ALD Second supplement dated 14 February 2018 to the EMTN Programme Base Prospectus dated 26 June 2017
14 Feb 2018 - 130 KB - PDF
ALD Second supplement dated 7 November 2017 to the EMTN Programme Base Prospectus dated 26 June 2017
7 Nov 2017 - 117 KB - PDF
2. Final terms
Final terms
Final terms Issue of EUR 750m Senior Unsecured 3.875% notes due 16 July 2029
16 Jul 2024 - 450 KB - PDF
Final terms Issue of CHF 220M Senior Unsecured 2.225% notes due 28 March 2029
5 Apr 2024 - 72 KB - PDF
Final terms Issue of EUR 1Bn Senior Unsecured 3.875% notes due 22 February 2027
22 Feb 2024 - 1 MB - PDF
Final terms Issue of EUR 500m Senior Unsecured 4% notes due 24 January 2031
24 Jan 2024 - 60 KB - PDF
Final terms Issue of EUR 1Bn Senior Unsecured 3.875% notes due 24 January 2028
24 Jan 2024 - 60 KB - PDF
Final terms Issue of EUR 500M Senior Unsecured 4 375 per cent note due 23 November 2026
23 Nov 2023 - 239 KB - PDF
Final terms Issue of EUR 1Bn Senior Unsecured 4.875% notes due 06 October 2028
4 Oct 2023 - 234 KB - PDF
Final terms Issue of EUR 1Bn Senior Unsecured FRN EUR3M 65 bps due 06 October 2025
4 Oct 2023 - 242 KB - PDF
Final terms - Tap of EUR 600m Senior Unsecured FRN EUR3M+55 due 21 February 2025
30 Jun 2023 - 67 KB - PDF
Final terms - Issue of EUR 500m Senior Unsecured FRN EUR3M+55 due 21 February 2025
28 Feb 2023 - 371 KB - PDF
Final terms - Issue of EUR 750m Senior Unsecured 4.25 per cent notes due 18 January 2027
31 Jan 2023 - 356 KB - PDF
Final terms - Issue of EUR 750m Senior Unsecured 4.750 per cent notes due 13 October 2025
31 Oct 2022 - 59 KB - PDF
Final terms - Issue of EUR 500m Senior Unsecured Green and Positive Impact Notes due 5 July 2027
31 Jul 2022 - 289 KB - PDF
Final terms - Issue of EUR 700m Senior Unsecured 1.250 per cent. notes due 2 March 2026
28 Feb 2022 - 261 KB - PDF
Final terms - Issue of EUR 500m Senior Unsecured 0.000 per cent. notes due 23 February 2024
28 Feb 2021 - 326 KB - PDF
3. Green bond
Framework
Reporting
Green and Positive impact bond - October 2023 - Allocation and impact report
30 Oct 2023 - 359 KB - PDF
Second Party Opinion
4. Information to debt investors
Presentations
Notices
5. Ratings
Ratings