Announcements

    Drinks

      Name ISIN Issuer Rating type Instrument rating Maturity date Coupon Coupon type Volume Currency
      LIN 3.434 08/26/26 XS1102559850 Linde Finance B.V. Subscription Scope One exclusive - XX/XX/XXXX - XXXX% - Xxxxx Forbidden Forbidden
      Linde AG - EUR 1,000,000,000 1.750% Bond due September 17, 2020 XS0828235225 Linde Finance B.V. Subscription Scope One exclusive - XX/XX/XXXX - XXXX% - Xxxxx Forbidden Forbidden
      Linde AG - EUR 650,000,000 2.000% Bond due April 18, 2023 DE000A1R07P5 Linde Finance B.V. Subscription Scope One exclusive - XX/XX/XXXX - XXXX% - Xxxxx Forbidden Forbidden
      Linde Finance B.V. - EUR 1,000,000,000 0.250% Bond due January 18, 2022 XS1518704900 Linde Finance B.V. Subscription Scope One exclusive - XX/XX/XXXX - XXXX% - Xxxxx Forbidden Forbidden
      Linde Finance B.V. - EUR 300,000,000 1.875% due May 22, 2024 XS1069836077 Linde Finance B.V. Subscription Scope One exclusive - XX/XX/XXXX - XXXX% - Xxxxx Forbidden Forbidden
      Linde Finance B.V. - EUR 500,000,000 1.750% Bond due June 11, 2019 XS0790015548 Linde Finance B.V. Public WD 11/06/2019 1.75% Fixed 500,000,000 EUR
      Linde Finance B.V. - EUR 750,000,000 1.000% Bond due April 20, 2028 XS1397134609 Linde Finance B.V. Subscription Scope One exclusive - XX/XX/XXXX - XXXX% - Xxxxx Forbidden Forbidden
      Linde Finance B.V. - EUR 750,000,000 3.125% Bond due December 12, 2018 XS0718526790 Linde Finance B.V. Public WD 12/12/2018 3.13% Fixed 750,000,000 EUR
      Linde Finance B.V. - GBP 300,000,000 5.875% Bond due April 24, 2023 XS0297700006 Linde Finance B.V. Subscription Scope One exclusive - XX/XX/XXXX - XXXX% - Xxxxx Forbidden Forbidden
      LING 0.250 05/19/27 '27 XS2177021271 Linde Finance B.V. Subscription Scope One exclusive - XX/XX/XXXX - XXXX% - Xxxxx Forbidden Forbidden