Outstanding bonds

Outstanding bonds, including prospectuses & debit maturity schedule

Outstanding bonds
  • 6.500% Notes due 2019
    Issuer  Ørsted 
    Issued amount  EUR 500 million 
    Outstanding amount  EUR 306 million 
    Type  Senior debt 
    Maturity date   7 May 2019 
     Issue date 6 May 2009
    Coupon payments  Every 7 May 
    Documentation  Ørsted Debt Issurance Program 
    Rating  BBB+ stable outlook (Standard & Poor's) and Baa1 negative outlook (Moody's)
    Listing  Londong Stock Exchange 
    ISIN-code   XS0426738976 
    Prospectus  Download prospectus (PDF)
    Final terms  Download final terms 

  • 4.875% Notes due 2021
    Issuer  Ørsted 
    Issued amount   EUR 500 million
    Outstanding amount  EUR 360 million 
    Type  Senior debt 
    Maturity date  16 December 2021 
    Issue date  16 December 2009 
    Coupon payments  Every 16 December 
    Documentation  Ørsted Debt Issurance Program 
    Rating  BBB+ stable outlook (Standard & Poor's) and Baa1 negative outlook (Moody's) 
    Listing  London Stock Exchange 
    ISIN-code  XS0473783891  
    Prospectus  Download prospectus (PDF)
    Download supplementary prospectus (PDF)
    Final terms  Download final terms 

  • 2.625% Notes due 2022
    Issuer  Ørsted 
    Issued amount  EUR 750 million 
    Outstanding amount  EUR 602 million 
    Type  Senior debt 
    Maturity date  19 September 2022 
    Issue date  19 September 2012 
    Coupon payments  Every 19 September 
    Documentation  Ørsted Debt Issurance Program 
    Rating  BBB+ stable outlook (Standard & Poor's) and Baa1 negative outlook (Moody's) 
    Listing  London 
    ISIN-code  XS0829114999 
    Prospects  Download prospectus (PDF)
    Download supplementary prospectus (PDF) 
    Final terms  Download final terms 

  • 4.875% Notes due 2032
    Issuer  Ørsted 
    Issued amount  GBP 750 million 
    Type  Senior debt 
    Maturity date  12 January 2032 
    Issue date  12 January 2012 
    Coupon payments  Every 12 January 
    Documentation  Ørsted Debt Issurance Program 
    Rating  BBB+ stable outlook (Standard & Poor's) and Baa1 negative outlook (Moody's) 
    Listing  London Stock Exchange
    ISIN-code  XS0730243150
    Prospects  Download prospectus (PDF)
    Download supplementary prospectus (PDF) 
    Final terms  Download final terms 

  • 5.750% Notes due 2040
    Issuer  Ørsted 
    Issued amount  GBP 500 million 
    Type  Senior debt 
    Maturity date  9 April 2040 
    Issue date  9 April 2010 
    Coupon payments  Every 9 April 
    Documentation  Ørsted Debt Issurance Program 
    Rating  BBB+ stable outlook (Standard & Poor's) and Baa1 negative outlook (Moody's) 
    Listing  London Stock Exchange
    ISIN-code  XS0499449261
    Prospects  Download prospectus (PDF)           
    Final terms  Download final terms (PDF)

  • 6.25% Subordinated Capital Securities 3013
    Issuer  Ørsted 
    Issued amount  EUR 700 million 
    Type  Hybrid capital (subordinated) 
    Maturity date  26 June 3013 
    Issuer call date at par  26 June 2023
    Issue date  26 June 2013  
    Coupon Fixed coupon during the first ten years (2013-2023) of 6.25% per year, whereafter the interest rate is adjusted every five years with the 5 year euroswap +4.75%-points for 2023-2043 and +5.50%-points after 2043  
    Coupon payments  Every 26 June 
    Documentation  Stand-alone euro bond documentation
    Rating  BB+ stable outlook (Standard & Poor's), Baa3 negative outlook (Moody's) and BBB- stable outlook (Fitch)
    Listing  Luxembourg Stock Exchange
    ISIN-code  XS0943370543
    Prospects 

    Download prospectus (PDF)
    Download Pricing Notice (PDF)


  • 4.875% Subordinated Capital Securities due 3013
    Issuer  Ørsted 
    Issued amount  EUR 500  million 
    Type  Hybrid capital (subordinated) 
    Maturity date  8 July 3013 
    Issuer call date at par  8 July 2018 
    Issue date  8 July 2013 
    Coupon  Fixed coupon during the first five years (2013-2018) of 4.875% per year, whereafter the interest rate is adjusted every five years with the 5 year euroswap +3.80%-points from 2018, 4.05%-points from 2023 and +4.80%-points from 2038  
    Coupon payments  Every 8 July
    Documentation  Stand-alone euro bond documentation 
    Rating  BB+ stable outlook (Standard & Poor's), Baa3 negative outlook (Moody's) and BBB- stable outlook (Fitch)
    Listing  Luxembourg Stock Exchange
    ISIN-code  XS0943371194
    Prospects  Download prospectus (PDF)
    Download Pricing Notice (PDF) 

  • 3.0% Subordinated Capital Securities due 3015
    Issuer  Ørsted 
    Issued amount  EUR 600  million 
    Type  Hybrid capital (subordinated) 
    Maturity date  6 November 3015
    Issuer call date at par 6 November 2020
    Issue date  6 May 2015 
    Coupon  Fixed coupon during the first 5.5 years (6 May 2015 - 6 Nov 2020) of 3.0% per year, whereafter the interest rate is adjusted every five years with the 5 year euroswap plus 2.819%-points from 6 Nov 2020, plus 3.069%-points from 6 Nov 2025 and plus 3.819%-points from 6 Nov 2040 
    Coupon payments  Every 6 November
    Documentation  Standalone euro bond documentation
    Rating  BB+ stable outlook (Standard & Poor's), Baa3 negative outlook (Moody's) and BBB- stable outlook (Fitch) Luxembourg Stock Exchange
    Listing Luxembourg Stock Exchange
    ISIN-code  XS1227607402
    Prospects  Download prospectus (PDF)
    Download Pricing Notice (PDF) 
    Download Deed of Undertaking (PDF)

Dept investor profile

Above is Ørsted's debt maturity profile as of 31 December 2016 in DKK billion.