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Bond issues

Financing our strategy of long-term growth

Air Liquide uses bonds to fund its long term profitable growth strategy and to benefit from attractive market conditions. The Group offers its bond issues to institutional investors such as fund managers, insurance and pension funds and public and private banks.

Entity Maturity Informations
Air Liquide Finance June 5, 2024 Date of issuance: June 5, 2014

Principal amount: €500 M

Coupon: 1.875%

Format: EMTN Standard

ISIN: FR0011951771

Final Terms - Press release
Air Liquide Finance June 13, 2024 Date of issuance: June 13, 2016

Principal amount: €500 M

Coupon: 0.75%

Format: EMTN Standard

ISIN: FR0013182839

Final Terms - Press release
Air Liquide Finance September 13, 2024 Date of issuance: September 13, 2012

Principal amount: $200 M

Coupon: 3.26%

Format: USPP

Press release
Air Liquide Finance March 31, 2025 Date of issuance: March 30, 2020

Principal amount: €100 M

Coupon: 1.081% p.a.

Format: EMTN Private Placement

ISIN: FR0013505088

Final Terms
Air Liquide Finance April 2, 2025 Date of issuance: April 2, 2020

Principal amount: €500 M

Coupon: 1.00% p.a.

Format: EMTN Standard

ISIN: FR0013505559

Final Terms - Press release
Air Liquide Finance June 3, 2025​ Date of issuance: May 27, 2015​

Principal amount: €500 M

Coupon: ​1.25%​

Format: EMTN Standard

ISIN: FR0012766889

Final Terms - Press release
Air Liquide Finance January 23, 2026 Date of issuance: January 23, 2014

Principal amount: €150 M

Coupon: 3.00%

Format: EMTN Private Placement

ISIN: FR0011699842

Final Terms
Air Liquide Finance September 27, 2026 Date of issuance: September 22, 2016

Principal amount: $1,250 M

Coupon: 2.50%

Format: 144A

ISIN: 00913R AD8 / US00913RAD89

Final Terms - Press release
Air Liquide Finance March 8, 2027 Date of issuance: March 7, 2017

Principal amount: €600 M

Coupon: 1.00%

Format: EMTN Standard

ISIN: FR0013241346

Final Terms - Press release
Air Liquide Finance September 13, 2027 Date of issuance: September 13, 2012

Principal amount: $100 M

Coupon: 3.46%

Format: USPP

Press release
Air Liquide Finance June 13, 2028 Date of issuance: June 13, 2016

Principal amount: €1,000 M

Coupon: 1.25%

Format: EMTN Standard

ISIN: FR0013182847

Final Terms - Press release
Air Liquide Finance March 17, 2029 Date of issuance: March 17, 2014

Principal amount: €100 M

Coupon: 3.00%

Format: EMTN Private Placement

ISIN: FR0011790294

Final Terms
Air Liquide Finance September 10, 2029 Date of issuance: September 10, 2019

Principal amount: $500 M

Coupon (payable semi-annually): 2.250% 

Format: 144A

ISIN: 00913RAF3 / US00913RAF38

Press release
Air Liquide Finance April 2, 2030 Date of issuance: April 2, 2020

Principal amount: €500 M

Coupon: 1.375% p.a.

Format: EMTN Standard

ISIN: FR0013505567

Final Terms - Press release
Air Liquide Finance June 20, 2030 Date of issuance: June 20, 2019

Principal amount: €600 M

Coupon: 0.625% p.a.

Format: EMTN Standard

ISIN: FR0013428067

Final Terms - Press release
Air Liquide Finance May 27, 2031 Date of issuance: May 27, 2021

Principal amount: €500 M

Coupon: 0.375% p.a.

Format: EMTN Green

ISIN: FR0014003N69

Final Terms - Press release
Air Liquide Finance September 19, 2031 Date of issuance: September 19, 2023

Principal amount : ¥ 20bn

Coupon : 0.82875 % p.a (payable semi-annually)

Format : EMTN Private Placement

ISIN : FR001400KNS3

Final Terms
Air Liquide Finance September 16, 2032 ​Date of issuance: September 16, 2022

Principal amount: €600 M

Coupon: 2.875% p.a.

Format: EMTN Standard

ISIN: FR001400CND2

Final Terms - Press release
Air Liquide Finance September 20, 2033 Date of issuance: September 20, 2021

Principal amount: €500 M

Coupon: 0.375% p.a.

Format: EMTN

ISIN: FR0014005HY8

Final Terms - Press release
Air Liquide Finance January 8, 2038 ​Date of issuance: January 8, 2008

Principal amount: ¥15bn

Coupon: 3.16%

Format: EMTN Private Placement

ISIN: FR0010562173

Final Terms
Air Liquide Finance September 27, 2046 Date of issuance: September 22, 2016

Principal amount: $750 M

Coupon: 3.50%

Format: 144A

ISIN: 00913R AE6 / US00913RAE62

Final Terms - Press release