Debt
Debt structure
Net Debt
As of December 31, 2021, Rexel’s consolidated net debt stood at €1,551.2 million, as a result of €2,128.0 million gross debt minus €573.5 million cash and cash equivalents, and minus €3.3 million of other items.
(in millions of euros) | Dec 31 2021 | Dec 31 2020 | Dec 31 2019 | Dec 31 2018 | Dec 31 2017 |
Senior notes | 999.5 | 1,105.5 | 1,413.4 | 1456.2 | 1,446.6 |
Senior Credit Agreement | – | – | – | – | – |
Securitization | 905.0 | 818.4 | 952.9 | 1001.2 | 1,007.6 |
Commercial paper | 125.5 | 50.0 | 50.0 | 40.0 | 41.7 |
Other debt & cash | (478.8) | (639.0) | (470.4) | (467.0) | (454.7) |
Net financial debt | 1,551.2 | 1,334.9 | 1,945.9 | 2,030.4 | 2,041.2 |
Financing maturity profile
Leverage ratio
On December 31, 2021, Rexel’s leverage ratio* stood at 1.37x.
Financing Instruments as of December 31, 2021
Commercial paper
Date of implementation | Size of the program (in millions of currency) |
Outstanding amount (in millions of currency) |
Documentation |
September 2010 | EUR 300.0 | EUR 125.5 | Documentation Financière* (download) |
*French version only
Senior Credit Agreement
Maximum Amount (in millions equivalent euros) |
Drawn amount | Maturity |
EUR 850.0 | EUR 0.0 | January 31, 2025 |
Senior Notes
Nominal amount (in millions) |
Maturity | Coupon | Rating | ISIN | 1st call date | |
Moody’s / S&P | Regulation S | 144A | ||||
EUR 400.0 (download) |
Jun 15, 2028 | 2.125% | Ba3 / BB- | XS2332306344 | N/A | Jun 15, 2024 |
EUR 600.0 (download) |
Dec 15, 2028 | 2.125% | Ba3 / BB- | XS2403428472 | N/A | Dec 15, 2024 |
Listing: Luxembourg Stock Exchange – Euro MTF market
Sustainability-Linked Bond
Redemption of Senior Notes
Download the 2.75% EUR Senior Notes due 2026 full redemption price notice – ISIN code: Reg S XS1958300375
PDF — 99 KB
DownloadDownload the 2.125% EUR Senior Notes due 2025 full redemption price notice – ISIN code: Reg S XS1716833352
PDF — 103 KB
DownloadDownload the 2.125% EUR Senior Notes due 2025 partial redemption price notice – ISIN code: Reg S XS1716833352
PDF — 168 KB
DownloadDownload the 2.625% EUR Senior Notes due 2024 full redemption price notice – ISIN code: Reg S XS1574686264
PDF — 324 KB
DownloadDownload the 2.625% EUR Senior Notes due 2024 conditional full redemption notice – ISIN code: Reg S XS1574686264
PDF — 688 KB
DownloadDownload the 3.50% EUR Senior Notes due 2023 full redemption notice – ISIN code: Reg S XS1409506885
PDF — 137 KB
DownloadDownload the 3.25% EUR Senior Notes due 2022 full redemption notice – ISIN code: Reg S XS1238996018
PDF —
DownloadDownload the 5.25% USD Senior Notes due 2020 full redemption price notice – ISIN code: Reg S USF75549AC34 - Rule 144A US761679AC37
PDF —
DownloadDownload the 5.25% USD Senior Notes due 2020 partial redemption price notice – ISIN code: Reg S USF75549AC34 - Rule 144A US761679AC37
PDF —
DownloadDownload the 5.125% EUR Senior Notes due 2020 redemption price notice – ISIN code: Reg S XS0908821639 - Rule 144A XS0908821985
PDF —
DownloadDownload the 6.125% USD Senior Notes due 2019 redemption price notice – ISIN code: Reg S USF75549AA77 - Rule 144A US761679AA70
PDF — 278 KB
DownloadDownload the 7% EUR Senior Notes due 2018 redemption price notice – ISIN code: Reg S XS0629656496
PDF — 90 KB
DownloadDownload the 8.25% EUR Senior Notes due 2016 redemption price notice – ISIN code: Reg S XS0473749959
PDF — 74 KB
Download
Issuer Credit Ratings
Agencies | Long term rating | Short term rating | Outlook |
Moody’s | Ba2 | – | Stable |
Standard & Poor’s | BB | B | Positive |
Further information
Quarterly financial documentation
Half-year financial documentation
Annual financial documentation
Financial press releases
Investors page