Investor Relations

Debt
Information

Bond Documentation

Tender Offer

Tender Offer Launch Notice

Hybrid Securities

Prospectus USD hybrid security
Prospectus EUR and GBP hybrid securities

GMTN

Prospectus 2018
Prospectus 2017
Prospectus 2016
Prospectus 2015

Currency: EUR

Listings: Amsterdam, Luxembourg

Prospectus former years

Prospectus 2014
Prospectus 2013
Prospectus 2012
Supplement Prospectus 2011
Prospectus 2011
Prospectus 2010
Prospectus 2009
Prospectus 2008
Prospectus 2007
Prospectus 2006
Prospectus 2005
Prospectus 2004

Pricing supplements

KPN €625m 1.125% Sep-28 (XS1485533431)
KPN € 625m 0.625% Apr-25 (XS1485532896)
KPN € 750m 3.250% Feb-21 (XS0811124790)
KPN € 750m 4.250% Mar-22 (XS0752092311)
KPN ₤ 400m 5.000% Nov-26 (XS0707430947)
KPN € 500m 4.500% Oct-21 (XS0677389347)
KPN € 1bn 3.750% Sep-20 (XS0543354236)
KPN € 700m 5.625% Sep-24 (XS0454773713)
KPN ₤ 850m 5.750% Sep-29 (XS0451790280)
KPN € 750m 7.500% Feb-19 (XS0411850075)
KPN € 925m 6.500% Jan-16 (XS0355666941 (tap)
KPN € 925m 6.500% Jan-16 (XS0355666941)
KPN € 650m 4.750% May-14 (XS0303070030)
KPN ₤ 250m 6.000% May-19 (XS0303070113)
KPN € 1bn 4.750% Jan-17 (XS0275164084)
KPN ₤ 275m 5.750% Mar-16 (XS0248011446)
KPN € 1bn 4.000% Jun-15 (XS0222766973)
KPN $ 1bn 8.375% Oct-30 (US780641AG12 / US780641AH94)
Date