Investor Relations


Yara has the following bonds:
ISIN/CUSIP Currency Interest Amount (millions) Maturity
984851 AC9B USD 7.875% 500 Jun 2019
NO0010727977 NOK Nibor+0.70% 2,200 Dec 2019
NO0010727985 NOK 2.55% 700 Dec 2021
NO0010727993 NOK 3.00% 600 Dec 2024
US984851AD75 USD 3.800% 500 Jun 2026

Documentation on the bonds can be found in the Reports and presentations section.

Rating reports to be found under Reports and Presentations / Bond roadshow:

Reports and Presentations

We use cookies on this website. If you continue to use the site without changing your settings, you agree that we may store and access these cookies on your device. To understand more about our use of cookies and to change cookie settings at any time please see
Cookie Preferences
I accept cookies