More information on Green bonds

ISIN Code Date of Placement Date of Maturity Issue amount Coupon rate, % Type of coupon
CH1100259816 
23.03.2021 250,000,000 CHF annual
XS2318748956 18.03.2021 18.09.2028 20,000,000,000 RUR 7.450 semi-annual
XS2271376498 
10.12.2020 02.03.2028 25,000,000,000 RUR 6.598 semi-annual
CH0522690715 
12.03.2020 12.03.2026 250,000,000 CHF 0.840 annual
CH0419041634 03.10.2019 03.04.2028 150,000,000 CHF 1.195 annual
CH0419041618 03.10.2019 03.10.2025 350,000,000 CHF 0.898 annual
XS1843431690 06.08.2019 10.09.2026 15,000,000,000 RUR 7.675 semi-annual
XS1843437036 
23.05.2019 23.05.2027 500,000,000 EUR 2.200 annual
XS1843442465 04.04.2019 04.10.2025 20,000,000,000 RUR 8.800 semi-annual
XS1701384494 19.10.2017 19.10.2024 15,000,000,000 RUR 7.900 semi-annual
CH0379268748 02.10.2017 02.10.2023 450,000,000 CHF 2.100 annual
XS1574787294 03.03.2017 03.03.2024 15,000,000,000 RUR 8.990 semi-annual
XS1574068844 01.03.2017 01.03.2024 500,000,000 USD 4.375 semi-annual
XS1502188375 07.10.2016 07.10.2023 15,000,000,000 RUR 9.200 semi-annual
XS1041815116 06.03.2014 06.03.2023 500,000,000 EUR 4.600 annual
XS0764220017 05.04.2012 05.04.2022 1,400,000,000 USD 5.700 semi-annual
XS0609017917 25.03.2011 25.03.2031 650,000,000 GBP 7.487 semi-annual