Listen

Debt securities ING Groep N.V. - Senior bonds - 2021

24 March 2025 ... min read

Senior bonds

ING Groep N.V. has issued several fixed or floating rate senior bonds, most of them on the basis of the Debt Issuance Programme. The first column in the table below contains the terms and conditions per security.

Overview per security

ISIN code/
CUSIP code/
Ticker
Date of issuance Coupon Amount First call date Maturity date Called on Listed on

US456837AH61
29 Mar 2017 3.950% $1,500,000,000   29 Mar 2027   NYSE

XS1730885073
5 Dec 2017 1.375% €1,000,000,000   11 Jan 2028   Euronext-Amsterdam

XS1882544973
20 Sep 2018 2.000% €1,500,000,000   20 Sep 2028   Euronext-Amsterdam

US456837AM56
2 Oct 2018 4.550% $1,250,000,000   2 Oct 2028   NYSE

XS1917902196
5 Dec 2018 5.00% $AUD 175,000,000   5 Jun 2029   Euronext - Amsterdam

XS1933820372
10 Jan 2019 2.125% €1,000,000,000   10 Jan 2026   Euronext - Amsterdam

XS1953146245
18 Feb 2019 3.000% £1,000,000,000   18 Feb 2026   Euronext - Amsterdam

US456837AQ60
9 Apr 2019 4.05% $1,000,000,000   9 Apr 2029   NYSE

XS2258452478
17 Nov 2020 0.25% €1,250,000,000 18 Feb 2028 18 Feb 2029   Euronext - Amsterdam

XS2281155254
11 Jan 2021 0.25% €1,500,000,000 1 Feb 2029 1 Feb 2030   Euronext - Amsterdam

US456837AW39
1 Apr 2021 2.727% $750,000,000 1 Apr 2031 1 Apr 2032   NYSE

US456837AX12
1 Apr 2021 Floating $400,000,000 1 Apr 2026 1 Apr 2027   NYSE

US456837AV55
1 Apr 2021 1.726% $1,100,000,000 1 Apr 2026 1 Apr 2027   NYSE

XS2390506546
29 Sep 2021 0.375% €1,500,000,000 29 Sep 2027 29 Sep 2028   Euronext - Amsterdam

XS2413697140
29 Nov 2021 0.875% €750,000,000 29 Nov 2029 29 Nov 2030   Euronext - Amsterdam

XS2443920751
16 Feb 2022 1.75% €1,500,000,000 16 Feb 2030 16 Feb 2031   Euronext - Amsterdam

XS2443920249
16 Feb 2022 1.25% €1,500,000,000 16 Feb 2026 16 Feb 2027   Euronext - Amsterdam

US456837BC65
28 Mar 2022 4.252% $1,000,000,000 28 Mar 2032 28 Mar 2033   NYSE

US456837BB82
28 Mar 2022 4.017% $1,250,000,000 28 Mar 2027 28 Mar 2028   NYSE

XS2526852350
30 Aug 2022 5.000% £300,000,000 30 Aug 2025 30 Aug 2026   Euronext - Amsterdam

XS2554746185
14 Nov 2022 4,875% €1,250,000,000 14 Nov 2026 14 Nov 2027   Euronext - Amsterdam

XS2554745708
14 Nov 2022 5.250% €1000,000,000 14 Nov 2032 14 Nov 2033   Euronext - Amsterdam

XS2624976077
23 May 2023 4.5% €1,500,000,000 23 May 2028 23 May 2029   Euronext - Amsterdam

XS2624977554
23 May 2023 4.75% €1,500,000,000 23 May 2033 23 May 2034   Euronext - Amsterdam

US456837BF96
11 Sep 2023 6.08% $1,250,000,000 11 Sep 2026 11 Sep 2027   NYSE

US456837BJ19
11 Sep 2023 Floating $500,000,000 11 Sep 2026 11 Sep 2027   NYSE

US456837BH52
11 Sep 2023 6.11% $1,250,000,000 11 Sep 2033 11 Sep 2034   NYSE

XS2729201413
7 Dec 2023 1.503% ¥24,900,000,000 7 Dec 2028 7 Dec 2029   Euronext - Amsterdam

XS2729201504
7 Dec 2023 1.878% ¥15,800,000,000 7 Dec 2032 7 Dec 2033   Euronext - Amsterdam

XS2764264607
12 Feb 2024 3.875%  €1,250,000,000 12 Aug 2028 12 Aug 2029   Euronext - Amsterdam

US456837BL64
19 Mar 2024 5.335% $1,500,000,000 19 Mar 2029 19 Mar 2030   NYSE

US456837BM48
19 Mar 2024 5.550% $1,500,000,000 19 Mar 2034 19 Mar 2035   NSYE

XS2891742731
3 Sep
2024
3,50% €1,500,000,000 3 Sep 2029 3 Sep 2023   Euronext - Amsterdam

XS2891741923
3 Sep
2024
3,75% €1,250,000,000 3 Sep 2034 3 Sep 2035   Euronext - Amsterdam

XS2909716321
2 Oct 2024 4,875% £ 500,000,000 2 Oct, 2028 2 Oct 2029   Euronext - Amsterdam

XS3002547563
19 Feb 2025 3,0% (reset after the call date) €1,250,000,000 17 Feb 2030 17 Aug 2031   Euronext - Amsterdam

XS3002547647
19 Feb 2025 3,5% (reset after the call date) €1,500,000,000 17 Feb 2035 17 Aug 2036   Euronext - Amsterdam
US456837BQ51 25 Mar 2025 4.858% $750,000,000 25 Mar 2028 25 Mar 2029   NSYE
US456837BP78 25 Mar 2025 Floating $750,000,000  25 Mar 2028 25 Mar 2029   NSYE
US456837BR35 25 Mar 2025 5.066% $1,000,000,000 25 Mar 2030 25 Mar 2031   NSYE
US456837BS18 25 Mar 2025 5.525%  $1,000,000,000 25 Mar 2035 25 Mar 2036   NSYE
Note: Table only shows benchmark transactions

Private placements

ISIN code/
CUSIP code/
Ticker
Date of issuance Coupon Amount First call date Maturity date Listed on

XS2421195178
14 Dec, 2021 0.975% €100,000,000 14 Feb, 2033 14 Feb, 2034 Euronext - Amsterdam

XS2449218093
24 Feb, 2022 1.876% €75,000,000 24 Feb, 2033 24 Feb, 2034 Euronext - Amsterdam


Most recent programme documentation

Please click directly hereunder for the most recent base prospectus, the registration document and the supplements. Earlier versions of the programme and Expired Notes for which the prospectus is less than 10 year old are also available on www.ingmarkets.com/downloads.

Back to top