Debt information

Debt investor relations is managed by Group Treasury. This team is the first point of contact for any debt related queries and can be contacted using [email protected].

National Grid long term debt maturity profile 

 

 

Data as at 30 September 2023.The indicative exchange rate used is GBPUSD = 1.22. Hybrid bond maturities to first call date.

The x axis states the financial year the debt matures, whilst the y axis states the outstanding level of debt in sterling millions maturing.

Debt programmes

 Programme Size  
EntityEMTNECPUSCP
National Grid plc€20bn*$4bn$4bn
National Grid North America Inc€8bn€4bn$4bn
National Grid Electricity Transmission plc€20bn*$2.5bn$2.5bn
National Grid Electricity Distribution (East Midlands) plc, National Grid Electricity Distribution (South Wales) plc, National Grid Electricity Distribution (South West) plc, National Grid Electricity Distribution (West Midlands) plc£6bn - -

*Joint EMTN programme size

The Prospectus, Supplementary Prospectus(es) and documents incorporated by reference for each of our EMTN programmes are accessible through the links above.

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