Debt Home

Debt Instrument

CUSIP/ ISIN

Original Issue

Issue Date

Amount Outstanding

Maturity Date

Issuer:

International
Consolidated
Airlines
Group S.A.

0.25% Convertible
bonds due 2020

XS1322536332

€500m

17/11/2015

€500m

17/11/2020

0.625% Convertible
bonds due 2022

XS1322536506

€500m

17/11/2015

€500m

17/11/2022

IAG 1.75% Convertible Bonds due 2018 
The conversion price of the IAG's €390,000,000 1.75 per cent. Convertible Bonds due 2018 has been adjusted to €4.1976, following the payment of an interim dividend of €0.10 per ordinary share on the 7 December 2015. Prior to this adjustment, the conversion price was €4.2503. All other terms and conditions of the Bonds remain unchanged. 
Offering CircularIAG 1.75% Convertible Bond due 2018 - Offering Circular
Board ReportInforme de los  administradores sobre la emission de Bonos -2018
Auditor reportAuditor Report - Bond due  2018

Optional Redemption Notice

IAG 1.75% Convertible Bond due 2018 - Offering Circular

Form of Conversion Notice

Informe de los  administradores sobre la emission de Bonos -2018

Form of Nationality Declaration

Auditor Report - Bond due  2018
  
IAG 0.25%/0.625% Convertible Bonds due 2020/2022 
Final Terms and ConditionsFinal Terms and  Conditions – 2015 Convertible
Board ReportBoard Report – 2015  Convertible
Auditors ReportAuditors  Report 2015 Convertible

 

Bondholder Assembly 2013
TitlePDF
Notice of General Assembly of Bondholders
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RNS Release: Notice of General Assembly of IAG Bondholders
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Proposals of Resolutions
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For any further queries about IAG's debt please contact the IAG Investor Relations team by email at investor.relations@iairgroup.com or by phone +44 20 8564 2900.