NOTICE N.º 0729/26
We hereby inform that, on 30th June, 2026, 585.000.000.,00 EUR of bonds, with a nominal value of 100.000,00 EUR, of the company IBERDROLA GENERACION S.A.U. were issued, regarding the loan "IBERDROLA GENERACION - SUC. PORTUGAL/2026 - EUR 585.000.000 FLOATING RATE NOTES DUE 2041", under the code IBGBOM (ISIN PTIBGBOM0000).
Euronext Securities Porto, 30th June, 2026