Other Bond Issuers

Stand Alone bonds
ISIN Number Issuer Maturity Issue Date Coupon
Rate %
Currency Amount
US751277AN49 RP May 1, 2021 May 9, 1991 9.3 USD 200
US751277AQ79 RP Feb 15, 2022 Feb 18,1992 8.625 USD 250
US751277AR52 RP Feb 1, 2023 Feb 2, 1993 8.125 USD 175
US751277AS36 RP Jun 15, 2025 Jun 15, 1995 7.875 USD 225

RP    Nestlé Purina PetCare Company, USA

Please note that: (a) restrictions on the distribution of the above information may apply in relation to certain jurisdictions and that any persons to whom such restrictions apply should exit this part of the website; (b) where there are no such restrictions, the above information is provided for information purposes only; (c) the above information must not be made available to any other person; and (d) selling restrictions apply to the bonds.