The presentations, releases, prospectuses and other information contained on this website (the ‘Documentation’) do not constitute an offer of or an invitation by Vodafone Group Plc (the ‘Company’) to subscribe for or purchase any securities (the ‘Securities’).

The Documentation should not be considered a recommendation by the Company to subscribe for or purchase any Securities. Furthermore, the Documentation speaks only as of its date, and the Company has no obligation or intention to update the Documentation.

The reproduction or distribution of the Documentation may be restricted by law in certain jurisdictions. Persons who access the Documentation are required to inform themselves about and to observe any such restrictions.

The Securities have not been and will not be registered under the United States Securities Act of 1933 (the ‘Securities Act’). Accordingly, the Securities may not be offered, sold or delivered within the United States or to any US Persons (as such term is defined in Rule 902 of Regulation S under the Securities Act) except pursuant to registration with the United States Securities and Exchange Commission or pursuant to an exemption from the registration requirements of the Securities Act.

European shelf programme

All bonds are issued by Vodafone Group Plc

Issuers Vodafone Group Plc
Programme value € 30,000,000,000
Arranger The Royal Bank of Scotland
Dealers Banca IMI, Barclays Capital, BofA Merrill Lynch, Deutsche Bank, ING Commercial Banking, Lloyds Bank Corporate Markets, Santander Global Banking & Markets, The Royal Bank of Scotland, UniCredit Bank, Banco Bilbao Vizcaya Argentina S.A., BNP PARIBAS, Citibank, HSBC, J.P. Morgan Cazenove, Morgan Stanley, Societe Generale Corporate & Investment Banking, UBS Investment Bank, Toronto Dominion, Standard Chartered
Issuances Public syndicated issuances and private placements
Paying agent HSBC

Download EMTN prospectus (PDF 779Kb)

EMTN bonds - €30bn programme

Bond ISIN Currency Volume Minimum Denomination Coupon Coupon Frequency Maturity Final Terms 

VG HKD 1.15bn 2.64%

XS1684379602

HKD

1,115,000,000

1,000,000

2.64%

Annual

13/09/2027

(PDF)

VG €1bn 1.125%

XS1721423462

EUR

1,000,000,000

100,000

1.125%

Annual

20/11/2025

(PDF)

VG €750m 1.875%

XS1721422068

EUR

750,000,000

100,000

1.875%

Annual

20/11/2029

(PDF)

VG €750m 2.875%

XS1721422902

EUR

750,000,000

100,000

2.875%

Annual

20/11/2037

(PDF)

VG AUD 200m FRN

AU3FN0040309

AUD

200,000,000

10,000

BBSW +105bps

Quarterly 

13/12/2022

(PDF)

VG AUD 500m 3.25%

AU3CB0249365

AUD

500,000,000

10,000

3.25%

Semi Annual

13/12/2022

(PDF)

VG AUD 450m 4.2%

AU3CB0249373

AUD

450,000,000

10,000

4.20%

Semi Annual

13/12/2027

(PDF)

VG EUR 500m 1.50%

XS1652855815

EUR

 500,000,000.00

 100,000.00

1.500%

Annual

24/07/2027

(PDF)

VG EUR 150m 1.60%

XS1652856540

EUR

 150,000,000.00

 100,000.00

1.600%

Annual

29/07/2031

(PDF)

VG JPY 10bn 1.20%

XS1641105918

JPY

 10,000,000,000.00

 100,000,000.00

1.200%

Semi Annual

10/07/2037

(PDF)

VG HKD 455m 2.85%

XS1634541574

HKD

 455,000,000.00

 1,000,000.00

2.850%

Annual

28/06/2027

(PDF)

VG HKD 550m 3.02%

XS1629149524

HKD

 550,000,000.00

 1,000,000.00

3.020%

Annual

16/06/2032

(PDF)

VG £450m 8.125%

XS0400780960

GBP

450,000,000

50,000

8.125

Annual

26/11/2018

(PDF)

VG €1.75bn (FRN)

XS1372838083

EUR

1,750,000,000

100,000

3m Euribor + 95bps8

Quarterly

25/02/2019

(PDF)

VG £1.44bn 2%

XS1371473601

GBP

1,440,000,000

100,000

2

Semi Annual

25/02/2019

(PDF)

VG €1.75bn 1%

XS1109802303

EUR

1,750,000,000

100,000

1

Annual

11/09/2020

(PDF)

VG €750m 0.88%

XS1323028479

EUR

750,000,000

100,000

0.875

Annual

17/11/2020

(PDF) 

VG £600m 0%

XS1325649140

GBP

600,000,000

100,000

Zero Coupon

Zero

26/11/2020

(PDF)

VG $60m (FRN)

XS1386298563

USD

60,000,000

1,000,000

3m $ Libor + 132bps

Quarterly

30/03/2021

(PDF) 

VG €1.25bn 1.25%

XS1372838240

EUR

1,250,000,000

100,000

1.25

Annual

25/08/2021

(PDF)

VG €1.25m 4.65%

XS0479869744

EUR

1,250,000,000

50,000

4.65

Annual

20/01/2022

(PDF) 

VG €500m 5.38%

XS0304458051

EUR

500,000,000

50,000

5.375

Annual

06/06/2022

(PDF)

VG €1.25bn 1.75%

XS1372838679

EUR

1,250,000,000

100,000

1.75

Annual

25/08/2023

(PDF)

VG €750m 0.5%

XS1499604905

EUR

750,000,000

100,000

0.5

Annual

30/01/2024

(PDF)

VG CHF350m 0.38%

CH0325429188

CHF

350,000,000

5,000

0.375

Annual

03/12/2024

(PDF)

VG €1bn 1.88%

XS1109802568

EUR

1,000,000,000

100,000

1.875

Annual

11/09/2025

(PDF)

VG NOK850m 3.22%

XS1325859897

NOK

850,000,000

1,000,000

3.215

Annual

27/11/2025

(PDF)

VG £249.9m 5.63%

XS0181816652

GBP

249,998,000

1,000

5.625

Annual

04/12/2025

(PDF)

VG €1.75bn 2.2%

XS1372839214

EUR

1,750,000,000

100,000

2.2

Annual

25/08/2026

(PDF)

VG €186m 0%

XS0401837280

EUR

186,350,000

50,000

Zero Coupon

Zero

01/12/2028

(PDF)

VG €1bn 1.6%

XS1463101680

EUR

1,000,000,000

100,000

1.6

Annual

29/07/2031

(PDF)

VG CHF150m 0.5%

CH0337829268

CHF

150,000,000

5,000

0.5

Annual

19/09/2031

(PDF)

VG £450m 5.9%

XS0158715713

GBP

450,000,000

1,000

5.9

Annual

26/11/2032

(PDF)

VG €331.5m 2.75%

XS1143270343

EUR

331,500,000

100,000

2.75

Annual

01/12/2034

(PDF)

VG $186m 5.35%

XS1325769716

USD

186,000,000

250,000

5.35

Annual

03/12/2045

(PDF)

VG $45m 4.6%

XS1463155348

USD

45,000,000

500,000

4.6

Semi Annual

09/08/2046

(PDF)

VG £800m 3.38%

XS1468494239

GBP

800,000,000

100,000

3.375

Annual

08/08/2049

(PDF)

VG £1bn 3%

XS1472483772

GBP

1,000,000,000

100,000

3

Annual

12/08/2056

(PDF)

VG MCB 1.72bn 1.20%

XS1960588850

GBP

     1,720,000,000.00

100,000.00

1.200%

Semi Annual

12/03/2021

(PDF)

VG MCB 1.72bn 1.50%

XS1960589668

GBP

1,720,000,000.00

100,000.00

1.500%

Semi Annual

12/03/2022

(PDF)