| Bond | Date of issue | Maturity | Nominal issued | Trading market |
|---|---|---|---|---|
| REP 5.00% | 22/Jul/2003 | 22/Jul/2013 | Eur 1,000,000,000.00 | The Luxembourg Stock Exchange |
| REP 6.5% | 27/Mar/2009 | 27/Mar/2014 | Eur 1,000,000,000.00 | The Luxembourg Stock Exchange |
| REP 4.625% | 08/Oct/2004 | 08/Oct/2014 | Eur 1,000,000,000.00 | The Luxembourg Stock Exchange |
| REP 4.250% | 09/Dec/2011 | 12/Feb/2016 | Eur 850,000,000 | The Luxembourg Stock Exchange |
| REP 4.75%(*) | 16/Feb/2007 | 16/Feb/2017 | Eur 885,791,000.00 | The Luxembourg Stock Exchange |
| REP 4.875% | 18/Feb/2012 | 19/Feb/2019 | Eur 750,000,000 | The Luxembourg Stock Exchange |
(*) The initial issue of REP notes at 4.75% for €500,000,000 was expanded with additional issues of €150,000,000 (August 2009) and €235,791,000 (October 2009). Both issues are fungible with the initial €500,000,000 issue.
| Bond | Date of issue | Maturity | Call | Nominal issued | Trading market |
|---|---|---|---|---|---|
| PREF. FRN Series B (1) | 11/May/2001 | Perpetual | 11/May/2011 | Eur 1,000,000,000.00 | AIAF |
| PREF. FRN Series C (1) | 21/Dec/2001 | Perpetual | 21/Dec/2011º | Eur 2,000,000,000.00 | AIAF |
(1) Subject to the provisions of the Prospectus, the issuer has the option to amortise this Series, fully or in part, from the fifth year following the date of issue thereof.

Last updated: 1 March 2012
Shareholders' Information Office 900 100 100
Paseo de la Castellana 278-280
28046 Madrid (Spain)
infoaccionistas@repsol.com