Outstanding Bonds
Selection
of public bonds and notes issued by Linde
EUR denominated bonds
| Issuer | Coupon | Currency | Amount | Issue Date | Maturity Date | Identifier |
| Linde plc |
3.125% |
EUR | 650M | 20.11.2025 | 20.11.2032 |
XS3226699091 |
| Linde plc |
3.750% |
EUR | 500M | 20.11.2025 | 20.11.2038 |
XS3226699331 |
| Linde plc |
3-month EURIBOR + 22bps |
EUR | 600M | 20.11.2025 | 20.11.2027 |
XS3226607409 |
| Linde plc |
2.6250% |
EUR | 850M | 18.02.2025 | 18.02.2029 |
XS3000977234 |
| Linde plc |
3.250% |
EUR | 650M | 18.02.2025 | 18.02.2037 |
XS3000977408 |
| Linde plc |
3.000% |
EUR | 750M | 18.02.2025 | 18.02.2033 |
XS3000977317 |
| Linde plc |
3.750% |
EUR | 700M | 04.06.2024 |
04.06.2044 |
XS2834282498 |
| Linde plc |
3.500% |
EUR | 750M | 04.06.2024 | 04.06.2034 |
XS2834282225 |
| Linde plc |
3.375% |
EUR | 750M | 04.06.2024 | 04.06.2030 |
XS2834282142 |
| Linde plc |
3.400% |
EUR | 700M | 14.02.2024 |
14.02.2036 |
XS2765558635 |
| Linde plc |
3.200% |
EUR | 850M | 14.02.2024 | 14.02.2031 |
XS2765559443 |
| Linde plc |
3.000% |
EUR | 700M | 14.02.2024 | 14.02.2028 |
XS276555979 |
| Linde plc |
3.375% |
EUR | 750M | 12.06.2023 | 12.06.2029 |
XS2634593938 |
| Linde plc |
3.625% |
EUR |
650M | 12.06.2023 | 12.06.2034 |
XS2634594076 |
| Linde plc | 1.000% |
EUR |
500M | 31.03.2022 |
31.03.2027 |
XS2463961321 |
| Linde plc | 1.375% |
EUR |
750M | 31.03.2022 |
31.03.2031 |
XS2463961248 |
| Linde plc |
1.625% |
EUR |
800M | 31.03.2022 |
31.03.2035 |
XS2463961677 |
| Linde plc | 0.000% |
EUR |
700M | 30.09.2021 |
30.09.2026 |
XS2391860843 |
| Linde plc |
0.375% |
EUR |
500M | 30.09.2021 |
30.09.2033 |
XS2391861064 |
| Linde plc |
1.000% |
EUR |
700M | 30.09.2021 |
30.09.2051 |
XS2391865305 |
| Linde Finance B.V. |
0.250% |
EUR |
750M | 19.05.2020 |
19.05.2027 | XS2177021271 |
| Linde Finance B.V. | 0.550% |
EUR |
750M |
19.05.2020 |
19.05.2032 |
XS2177021602 |
| Linde Finance B.V. | 1.000% |
EUR |
750M |
20.04.2016 |
20.04.2028 |
XS1397134609 |
USD denominated bonds
| Issuer | Coupon | Currency | Amount | Issue Date | Maturity Date | Identifier |
| Linde Inc. |
1.100% |
USD |
700M | 10.08.2020 | 10.08.2030 |
74005PBT0 |
| Linde Inc. | 2.000% |
USD |
300M | 10.08.2020 |
10.08.2050 |
74005PBS2 |
| Linde Inc. |
3.550% |
USD |
675M | 07.11.2012 |
07.11.2042 |
74005PBD5 |
CHF denominated bonds
| Issuer | Coupon | Currency | Amount | Issue Date | Maturity Date | Identifier |
| Linde plc |
1.0629% |
CHF | 275M | 05.06.2025 |
07.06.2033
|
CH1449583744 |
| Linde plc |
0.6150% |
CHF | 225M | 05.06.2025 | 05.06.2029 |
CH1449583736 |
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