Bonds

Outstanding bonds

Issue

Issue date

Size

Market

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ACS 4.75%
November 2026
ISIN: XS2560385796

30 November 2022

€ 50,000,000

ACS 4%
May 2036
ISIN: XS3068605263

14 May 2025

63.000.000€

ACS 3.75%
June 2030
ISIN: XS3029358317

11 June 2025

500.000.000€

Matured bonds

Issue

Issue date

Size

Market

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ACS 1.375%
June 2025
ISIN: XS2189592616

17 June 2020

€ 750,000,000

ACS 0.785%
June 2023
ISIN: XS1992085602
 

10 May 2019

€ 28,000,000

Exchangeable Bond 
22 October 2018
ISIN: XS0951366136

22 October 2013

 € 721,100,000

FINAL TERMSFINAL TERMS

ACS 2.50% 
October 2018 
ISIN: XS1311101114

26 October 2015

€ 113,000,000  

Exchangeable Bond
27 March 2019
ISIN: XS1046590805

27 March 2014

€ 405,600,000

ACS 2.875%
April 2020 
ISIN: XS1207309086

1 April 2015

€ 500,000,000

ACS 0.375%
March 2021
ISIN: XS1960353388

8 March 2019

€ 120,000,000