Debt securities ING Groep N.V. - Green bonds
Green bonds
ING Group issued its first green bond in November 2015. In alignment with ING’s sustainability strategy, we have established a Global Green Funding Framework, under which ING Group and any of its subsidiaries can issue financial instruments (such as Senior Bonds, Subordinated Bonds, Covered Bonds, Commercial Papers, Medium-term notes and Deposits) to finance and refinance sustainable assets and projects which contribute to the UN Sustainable Development Goals and the sustainability strategy of ING.
ING intends to allocate the net proceeds of the green funding instruments issued under the Global Green Funding Framework to an Eligible Green Loan Portfolio of new and existing loans, financing renewable energy projects and green buildings. Read the ING Global Green Funding Framework 2024 (PDF 8,6 MB) for more information.
Senior bonds
ISIN code/ CUSIP code/ Ticker |
Date of issuance | Coupon | Amount | First call date | Maturity date | Called on | Listed on |
Reg S Notes: USN4580HAA51 Rule 144A notes: US45685NAA46 |
15 Nov, 2018 | 4.625 | $1,250,000,000 | 6 Jan, 2026 | Not applicable | ||
XS1909186451 |
15 Nov, 2018 | 2.5% | €1,500,000,000 | 15 Nov, 2030 | Euronext Amsterdam | ||
Reg S Notes: USN4580HAC18 Rule 144A notes: US456837AU72 |
1 Jul, 2020 | 1.40% | $1,000,000,000 | 1 Jul, 2025 | 1 Jul, 2026 | Not applicable | |
XS2305598216 |
24 Feb, 2021 | 1.125% | £800,000,000 | 7 Dec, 2027 | 7 Dec, 2028 | Euronext - Amsterdam | |
XS2483607474 |
23 May, 2022 | 2.125% | €1,500,000,000 | 23 May, 2025 | 23 May, 2026 | Issuer call notice |
Euronext - Amsterdam |
XS2764264789 |
12 Feb, 2024 | 4.0% (reset after the call date) | €1,250,000,000 | 12 Feb, 2034 | 12 Feb, 2035 | Euronext - Amsterdam | |
XS2941482569 |
19 Nov, 2024 | 3.375% (reset after the call date) | €1,000,000,000 | 19 Nov, 2031 | 19 Nov, 2032 | Euronext - Amsterdam |
Tier 2 bonds
ISIN code/ CUSIP code/ Ticker |
Date of issuance | Coupon | Amount | First call date | Maturity date | Listed on |
XS2350756446 |
9 Jun, 2021 | 0.875% (reset after the last call date) | €500,000,000 | 9 Mar, 2027 | 9 Jun, 2032 | Euronext-Amsterdam |
XS2524746687 |
24 Aug, 2022 | 4.125% (reset after the last call date) | €1,000,000,000 | 24 May, 2028 | 24 Aug, 2033 | 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 through this link.