EMTN Programme
The Euro Medium Term Note programme of Telenor was established in 1996, and is currently the main source for medium and longer dated funding. The EMTN programme is updated annually and constitutes a standardised master agreement for issuance of bonds including private placements and public benchmark bonds.
Issuer: | Telenor ASA |
Description: | An uncommitted international programme for the purpose of medium and long term borrowing |
Programme Size: | EUR 10,000,000,000 |
Arranger: | Citigroup |
Dealers: | Barclays, Citigroup, Danske Bank, HSBC, ING Commercial Banking, Mizuho Securities, Nordea, SEB, SMBC Nikko, Standard Chartered Bank |
Issuing and Paying Agent: | Citibank |
Downloads
Historical EMTN Prospectus
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Telenor ASA - EMTN Supplemental Prospectus - 12 Sep 2023
220 KB pdf -
Telenor ASA - EMTN Supplemental Prospectus - 17 May 2023
172 KB pdf -
Telenor ASA – EMTN Base Prospectus 10 November 2022
1,1 MB pdf -
2020 - Telenor ASA – EMTN Base Prospectus 18 June 2020
990 KB pdf -
2019 - Telenor ASA – EMTN Prospectus 18 June 2019
1,1 MB pdf -
2018 - Telenor ASA – EMTN Base Prospectus 14 Nov 2018
945 KB pdf -
2017 - Telenor ASA – EMTN Base Prospectus 15 June 2017
1,3 MB pdf -
2016 - Telenor ASA – EMTN Prospectus dated 27 June 2016
1,2 MB pdf -
2015 - Telenor ASA – EMTN Base Prospectus 16 June 2015
1,2 MB pdf -
2014 - Telenor ASA – EMTN Base Prospectus 17 June 2014
1,3 MB pdf -
2014 - Telenor ASA – Second supplement dated 14 March 2014 to the base prospectus dated 28 June 2013
249 KB pdf -
2013 - Telenor ASA – EMTN Base Prospectus 28 June 2013
1,2 MB pdf -
2012 - Telenor ASA – EMTN Base Prospectus 08 June 2012
545 KB pdf -
2009 - Telenor ASA – EMTN Base Prospectus May 2009
528 KB pdf -
2006 - Telenor ASA – EMTN Base Prospectus July 2006
343 KB pdf
Loan documents
ISIN | Rate % | Maturity | |
XS0933241456 | 2.50% | 22 May 2025 | |
XS2001737324 | 0.75% | 31 May 2026 | |
XS2056396919 | 0.25% | 25 September 2027 | |
XS2911004658 | FRN | 01 October 2027 | |
XS2117452156 | 0.25% | 14 February 2028 | |
NO0012935313 | FRN | 13 June 2028 | |
XS2001737910 | 1.125% | 31 May 2029 | |
XS2911013303 | 2.758% | 01 October 2029 | |
XS2911006430 | FRN | 01 October 2029 | |
NO0012935339 | 4.61% | 13 June 2030 | |
XS2696803696 | 4.00 % | 03 October 2030 | |
XS2056399855 | 0.625% | 25 September 2031 | |
XS2001738991 | 1.75% | 31 May 2034 | |
XS2117454871 | 0.875% | 14 February 2035 | |
XS2696803852 | 4.25 % | 03 October 2035 |