2013 Offering
  • wpadmin
  • wpadmin

Enlace Externo

Texto del enlace externo

2013 Offering

International Bonds

2013 Offering

Última actualización 29 oct. 2014

Offering Summary:

  • Issue Date: September 18, 2013
  • Outstanding: US$2.5 billion
  • Amortization: Bullet
  • Denomination and Multiples: US$1,000 / US$1,000

 

Final terms and conditions as of September 11, 2013 of Ecopetrol S.A. 4.250% Notes due 2018, Ecopetrol S.A. 5.875% Notes due 2023 and Ecopetrol S.A. 7.375% Notes due 2043
Term 5 years 10 years 30 years
Principal Amount US$350,000,000 US$1,300,000,000 US$850,000,000
Issue Price 99.559 99.033 99.474
Yield 4.349% 6.005% 7.419%
Spread to Benchmark Treasury UST+260 bps UST+305 bps UST+350 bps
Coupon Rate 4.250% 5.875% 7.375%
Interest Payment Dates March 18 and September 18, commencing on March 18, 2014 March 18 and September 18, commencing on March 18, 2014 March 18 and September 18, commencing on March 18, 2014
Maturity September 18, 2018 September 18, 2023 September 18, 2043


Ratings:
 

  • Moody´s: Baa2
  • Standard & Poor´s: BBB
  • Fitch Rating: BBB-

 

Prospectus

Contact Information:

The Bank of New York Mellon

212-815-5537
101 Barclay Street 
New York, 10286