1. Ferrovial
  2. Investors
  3. Stock Information
  4. Debt Issuances & Rating

Debt Issuances

Debt Issuances

ISIN NUMBER COUPON COUPON PAYMENT DAY SCHEDULED REDEMPTION DATE NOTIONAL / NOMINAL VALUE
XS3299555246 3.625% September 18th

09/12/2032

€ 500 M

XS2969695084 3.25% January 16th

01/16/2030

€ 500 M

XS2680945479 4.375% September 13th

09/13/2030

€ 500 M

ES0205032040 0.54% November 12th  

11/12/2028

€ 500 M

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