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US shelf programme

US shelf programme

All bonds are issued by Vodafone Group Plc listed on the New York Stock Exchange

IssuersVodafone Group Plc
Paying agentBNY Mellon
BondCUSIPCurrencyVolumeMinimum DenominationsCouponCoupon FrequencyMaturityFinal Terms

VG $2bn 3.75%

92857W BH2

USD

          2,000,000,000

1,000

3.750%

S/A

16/01/2024

 (PDF)

VG $1.5bn 4.125%

92857W BJ8

USD

             1,500,000,000

1,000

4.125%

S/A

30/05/2025

(PDF)

VG $3bn 4.375%

92857W BK5

USD

             3,000,000,000

1,000

4.375%

S/A

30/05/2028

(PDF)

VG $1bn 5%

92857W BL3

USD

             1,000,000,000

1,000

5.000%

S/A

30/05/2038

(PDF)

VG $3bn 5.25%

92857W BM1

USD

             3,000,000,000

1,000

5.250%

S/A

30/05/2048

(PDF)

VG $1bn FRN

92857W BN9

USD

             1,000,000,000

1,000

USD LIBOR + 0.99%

Quarterly

16/01/2024

(PDF)

VG $500m 4.38%92857WAV2USD500,000,0001,0004.375Semi Annual16/03/2021(PDF)
VG $1bn 2.5%92857WAZ3USD1,000,000,0001,0002.5Semi Annual26/09/2022(PDF)
VG $1.6bn 2.95%92857WBC3USD1,600,000,0001,0002.95Semi Annual19/02/2023(PDF)
VG $750m 7.88%92857TAH0USD750,000,0001,0007.875Semi Annual15/02/2030(PDF) 
VG $495m 6.25%92857WAB6USD495,000,0001,0006.25Semi Annual30/11/2032(PDF) 
VG $1.7bn 6.15%92857WAQ3USD1,700,000,0001,0006.15Semi Annual27/02/2037(PDF) 
VG $1.4bn 4.38%92857WBD1USD1,400,000,0001,0004.375Semi Annual19/02/2043(PDF)