| BONDS ISSUED BY REPSOL INTERNATIONAL FINANCE BV | | Notes Issues | Bond | Issue date | Maturity | Nominal amount | Market where it trades | > Offering circular
(PDF 3.30 MB) | REP 6.00% | 05/May/2000 | 05/May/2010 | Eur
1,000,000,000.00 | The Luxembourg
Stock Exchange | > Offering circular
(PDF 27.7 MB) | REP 6.00% (*) | 21/Jun/2001 | 05/May/2010 | Eur
175,000,000.00 | The Luxembourg
Stock Exchange | > Final Terms
(PDF 155 Kb)
> Base prospectus
(PDF 482 Kb) | REP FRN | 16/Feb/2007 | 16/Feb/2012 | Eur
750,000,000.00 | The Luxembourg
Stock Exchange | >Pricing Supplement
(PDF 23.9 Kb)
> Offering circular
(PDF 351 Kb) | REP 5.00% | 22/Jul/2003 | 22/Jul/2013 | Eur
1,000,000,000.00 | The Luxembourg
Stock Exchange | > Pricing Supplement
(PDF 208 Kb)
> Offering circular
(PDF 383 Kb) | REP 4.625% | 08/Oct/2004 | 08/Oct/2014 | Eur
1,000,000,000.00 | The Luxembourg
Stock Exchange | > Final Terms
(PDF 138 Kb)
> Base pospectus
(PDF 482 Kb) | REP 4.75% | 16/Feb/2007 | 16/Feb/2017 | Eur
500,000,000.00 | The Luxembourg
Stock Exchange |
(*) The Rep 6.00% bond issue was increased by an additional Eur 175mn and is fungible with the existing Eur 1 billion issue. |