Renta fija
Renta fija Repsol
Bonos Repsol International Finance BV garantizados por Repsol, S.A.
| Bono |
Código ISIN | Fecha de emisión | Vencimiento | Nominal vivo | Mercado de cotización | Documentación |
|---|---|---|---|---|---|---|
| REP 2,25% | XS1148073205 | 10/12/2014 | 10/12/2026 | Eur 500.000.000 | LSE (1) | Final Terms de 09/12/2014 |
| REP 0,25% | XS2035620710 | 02/08/2019 | 02/08/2027 | Eur 750.000.000 | LSE (1) | Final terms de 31/07/2019 |
| REP 2,625% | XS2156583259 | 15/04/2020 | 15/04/2030 | Eur 750.000.000 | LSE (1) | Final Terms del 09/04/2020 |
| REP 5,375% | XS1352121724 | 27/01/2016 | 27/01/2031 | Eur 100.000.000 | LSE (1) | Final Terms del 25/01/2016 |
| REP 4,247% | XS2186001314 | 11/06/2020 | Perpetuo | Eur 750.000.000 | LSE (1) | Prospectus dated 04/06/2020 |
| REP 2,500% | XS2320533131 | 22/03/2021 | Perpetuo | Eur 750.000.000 | LSE (1) | Prospectus dated 18/03/2021 |
(1) The Luxembourg Stock Exchange.
Bonos Repsol Europe Finance SARL garantizados por Repsol, S.A.
| Bono |
Código ISIN | Fecha de emisión | Vencimiento | Nominal vivo | Mercado de cotización | Documentación |
|---|---|---|---|---|---|---|
| REP 0,375% (1) | XS2361358299 | 06/07/2021 | 06/07/2029 | Eur 650.000.000 | LSE (3) | Final Terms de 02/07/2021 Sustainability Linked Bond |
| REP 0,875% (2) | XS2361358539 | 06/07/2021 | 06/07/2033 | Eur 600.000.000 | LSE (3) | Final Terms de 02/07/2021 Sustainability Linked Bond |
| REP 3,625% | XS2894862080 | 05/09/2024 |
05/09/2034 | Eur 850.000.000 | LSE (3) | Final Terms de 03/09/2024 |
| REP 4,50% | XS3102778191 | 26/06/2025 | Perpetuo | Eur 750.000.000 | LSE (3) | Final Terms |
| REP 4,197% | XS3231216998 | 19/11/2025 | Perpetuo | Eur 750.000.000 | LSE (3) | Final Terms |
(1) Los bonos tendrán una penalización en caso de incumplimiento del SPT de un step-up en el cupón de 25 pbs a pagar en los años 2027, 2028 y 2029.
(2) Los bonos tendrán una penalización en caso de incumplimiento del SPT de un step-up en el cupón de 37,5 pbs a pagar en los años 2032 y 2033..
(3) The Luxembourg Stock Exchange.
Finanzas sostenibles
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Carbon Intensity Indicator and Carbon Intensity Indicator Percentage for SLBs issued under the 2021 EMTN Programme, for the year ended December 31, 2025Ver pdf (1,76 MB)
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Carbon Intensity Indicator and Carbon Intensity Indicator Percentage for SLBs issued under the 2021 EMTN Programme, for the year ended December 31, 2024Ver pdf (1,93 MB)
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Carbon Intensity Indicator and Carbon Intensity Indicator Percentage as of December 31, 2023Ver pdf (4,35 MB)
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Carbon Intensity Indicator CII 2021Ver pdf (1,22 MB)
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Carbon Intensity Indicator and Carbon Intensity Indicator Percentage as of December 31, 2022Ver pdf (415,09 KB)
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Carbon Intensity Indicator and Carbon Intensity Indicator Percentage as of December 31, 2021Ver pdf (275,12 KB)
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2020 Green bond GHG emissions avoided noteVer pdf (112,92 KB)
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Green Bond Final Report - PDF (3,39 MB)Ver pdf (3,54 MB)
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Green Bond Report 2018Ver pdf (2,40 MB)
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Green Bond Report 2017Ver pdf (630,27 KB)
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Final TermsVer pdf (23,33 KB)
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Repsol’s Green Bond FrameworkVer pdf (307,25 KB)
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Vigeo Eiris Second Party OpinionVer pdf (697,92 KB)
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Investors presentationVer pdf (2,15 MB)
Perfil de vencimiento deuda senior de los bonos garantizados por Repsol, S.A.
Actualizado a junio 2026