Debt Prospectus

More details about our debt issuances

 

Senior Notes
Principal AmountIssue DateMaturity DateIssue Price (%)Interest Rate
(% apr)
Cupom
US$ 1,0 BiOct/11/17Jan/27/2028100,0005,999Semiannually
US$ 1,0 BiOct/11/17Jan/27/2025100,0005,299Semiannually
US$ 1,0 BiMay/15/17Mar/17/2044102,9937,250Semiannually
US$ 2,0 BiMay/15/17Jan/17/2027109,9547,375Semiannually
US$ 1,0 BiMay/15/17Jan/17/2022105,1406,125Semiannually
US$ 2,0 BiJan/09/17Jan/17/2027100,0007,375Semiannually
US$ 2,0 BiJan/09/17Jan/17/2022100,0006,125Semiannually
US$ 1,25 BiJul/07/16May/23/202699,9818,750Semiannually
US$ 1,75 BiJul/07/16May/23/2021101,9718,375Semiannually
US$ 1,75 BiMay/17/16May/23/202698,3748,750Semiannually
US$ 5,0 BiMay/17/16May/23/202199,0028,375Semiannually
US$ 2,5 BiJun/01/15Jun/05/211581,0706,850Semiannually
US$ 1,6 BiMar/10/14Mar/17/1799,9573,250Annually
US$ 1,4 BiMar/10/14Mar/17/17100,0003-month US$ LIBOR + 236 bpsQuarterly
US$ 1,5 BiMar/10/14Mar/17/2099,7434,875Annually
US$ 0,5 BiMar/10/14Mar/17/20100,0003-month US$ LIBOR + 288 bpsQuarterly
US$ 2,5 BiMar/10/14Mar/17/2499,7726,250Annually
US$ 1,0 BiMar/10/14Mar/17/4499,1667,250Annually
€ 1,5 BiJan/07/14Jan/15/1899,7052,750Annually
€ 0,75 BiJan/07/14Jan/14/2199,4023,750Annually
€ 0,8 BiJan/07/14Jan/14/2599,2044,750Annually
£ 0,6 BiJan/07/14Jan/16/3498,8456,625Annually
US$ 1,25 BiMay/20/13May/20/1699,5842,000Semiannually
US$ 1 BiMay/20/13May/20/16100,0003-month US$ LIBOR + 162 bpsQuarterly
US$ 2 BiMay/20/13Jan/15/1999,3523,000Semiannually
US$ 1,5 BiMay/20/13Jan/15/19100,0003-month US$ LIBOR + 214 bpsQuarterly
US$ 3,5 BiMay/20/13May/20/2398,8284,375Semiannually
US$ 1,75 BiMay/20/13May/20/4398,0275,625Semiannually
€ 1,3 BiOct/01/12Apr/01/1999,3983,250Annually
€ 700 MOct/01/12Oct/02/2398,1544,250Annually
£ 450 MOct/01/12Oct/01/2997,4725,375Annually
US$ 2,75 BiFeb/06/12Jan/27/21104,1815,375Semiannually
US$ 1,75 BiFeb/06/12Feb/06/1799,4193,500Semiannually
US$ 1,25 BiFeb/06/12Jan/27/41111,2086,750Semiannually
US$ 1,25 BiFeb/06/12Feb/06/1599,4992,875Semiannually
£ 700 MDec/12/11Dec/14/2697,8266,250Annually
€ 600 MDec/09/11Mar/07/2299,2665,875Annually
1,25 BiDec/09/11Mar/07/1899,0214,875Annually
US$ 2,5 BiJan/27/11Jan/27/1699,6633,875Semiannually
US$ 2,5 BiJan/27/11Jan/27/2199,8015,375Semiannually
US$ 1 BiJan/27/11Jan/27/4199,2886,750Semiannually
US$ 2,5 BiOct/30/09Jan/20/2099,0605,750Semiannually
US$ 1,5 BiOct/30/09Jan/20/4098,4526,875Semiannually
US$ 1,25 BiJul/01/09Mar/15/19106,9627,875Semiannually
US$ 1,5 BiFeb/11/09Mar/15/1998,2837,875Semiannually
US$ 750 MJan/11/08Mar/01/18100,1135,875Semiannually
US$ 1 BiNov/01/07Mar/01/1898,6125,875Semiannually
US$ 399 MFeb/07/07Oct/06/1699,7306,125Semiannually
US$ 500 MOct/06/06Oct/06/1699,5576,125Semiannually
¥ 35 BiSep/27/06Sep/27/16100,0002,150Semiannually
US$ 600 MSep/15/04Sep/15/1498,6387,750Semiannually
US$ 750 MDec/03/03Dec/10/1898,9518,375Semiannually

 

 

Tender Offer

 

PDF icon  Press Release - January 26, 2017 - Petrobras Announces Early Tender Results and Early Settlement for Cash Tender Offers

 

PDF icon  Press Release - January 24, 2017 - Petrobras Announces Increase of Tender Cap and Extension of Early Tender Date and Expiration Date

 

PDF icon  Press Release - January 17, 2017 - Petrobras Issues US$ 4 billion in Global Notes

 

PDF icon  Press Release - January 9, 2017 - Petrobras announces the pricing of Global Notes and increase of tender cap

 

PDF icon  Press Release - January 9, 2017 - Petrobras announces offering of Global Notes and commencement of Cash Tender Offers

 

PDF icon  Press Release - July 21, 2016 - Petrobras announces early tender results and early settlement for cash tender offers

 

PDF icon  Press Release - July 13, 2016 - Petrobras completes US$3 billion bond sale

 

PDF icon  Press Release - July 11, 2016 - Petrobras announces Tender Results and Settlement of Tender Offer and Consent Solicitation

 

PDF icon  Press Release - July 7, 2016 - Petrobras announces the pricing of reopening of outstanding series of Global Notes and increase of Tender Cap

 

PDF icon  Press Release - July 7, 2016 - Petrobras announces Reopening of Outstanding Series of Global Notes and Commencement of Cash Tender Offers

 

PDF icon  Press Release - June 24, 2016 - Petrobras announces Extension of the Expiration Date, Increase of Consideration and Payment of Soliciting Dealer Fee

 

PDF icon  Press Release - June 15, 2016 - Petrobras announces Extension of the Expiration Date of Offer to Purchase and Consent Solicitation

 

PDF icon  Press Release - June 1, 2016 - Early Tender Results and Early Settlement for Waterfall Tender Offers and Extension of the Early Tender Date and Increase of Consideration for Any and All Offer 

 

PDF icon  Final Prospectus - May 17, 2016

 

PDF icon  Press Release - May 18, 2016 - Petrobras announces the pricing of global notes and increase of waterfall tender cap

 

PDF icon  Press Release - May 17, 2016 - Petrobras announces offering of Global Notes and Commencement of Offers to Purchase and Consent Solicitation