Attached files
file | filename |
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EX-32.2 - EXHIBIT 32.2 - ENTERPRISE PRODUCTS PARTNERS L.P. | exhibit32_2.htm |
EX-32.1 - EXHIBIT 32.1 - ENTERPRISE PRODUCTS PARTNERS L.P. | exhibit32_1.htm |
EX-31.2 - EXHIBIT 31.2 - ENTERPRISE PRODUCTS PARTNERS L.P. | exhibit31_2.htm |
EX-31.1 - EXHIBIT 31.1 - ENTERPRISE PRODUCTS PARTNERS L.P. | exhibit31_1.htm |
10-Q - QUARTERLY REPORT - ENTERPRISE PRODUCTS PARTNERS L.P. | form10q.htm |
Exhibit 22.1
List of Issuers of Debt Securities Guaranteed by Enterprise Products Partners L.P. and Associated Securities at June 30, 2021.
In compliance with Item 601(b)(22) of Regulation S-K, the following is a list of publicly traded debt securities issued by Enterprise Products Operating LLC (the
“Subsidiary Issuer”) and guaranteed by Enterprise Products Partners L.P. (the “Parent Guarantor”) (dollars in millions):
Amounts Outstanding at
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Guaranteed Securities
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June 30, 2021
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Senior Notes VV, 3.50% fixed-rate, due February 2022
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$
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750.0
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Senior Notes CC, 4.05% fixed-rate, due February 2022
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650.0
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Senior Notes HH, 3.35% fixed-rate, due March 2023
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1,250.0
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Senior Notes JJ, 3.90% fixed-rate, due February 2024
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850.0
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Senior Notes MM, 3.75% fixed-rate, due February 2025
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1,150.0
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Senior Notes PP, 3.70% fixed-rate, due February 2026
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875.0
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Senior Notes SS, 3.95% fixed-rate, due February 2027
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575.0
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Senior Notes WW, 4.15% fixed-rate, due October 2028
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1,000.0
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Senior Notes YY, 3.125% fixed-rate, due July 2029
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1,250.0
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Senior Notes AAA, 2.80% fixed-rate, due January 2030
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1,250.0
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Senior Notes D, 6.875% fixed-rate, due March 2033
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500.0
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Senior Notes H, 6.65% fixed-rate, due October 2034
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350.0
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Senior Notes J, 5.75% fixed-rate, due March 2035
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250.0
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Senior Notes W, 7.55% fixed-rate, due April 2038
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399.6
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Senior Notes R, 6.125% fixed-rate, due October 2039
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600.0
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Senior Notes Z, 6.45% fixed-rate, due September 2040
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600.0
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Senior Notes BB, 5.95% fixed-rate, due February 2041
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750.0
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Senior Notes DD, 5.70% fixed-rate, due February 2042
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600.0
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Senior Notes EE, 4.85% fixed-rate, due August 2042
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750.0
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Senior Notes GG, 4.45% fixed-rate, due February 2043
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1,100.0
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Senior Notes II, 4.85% fixed-rate, due March 2044
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1,400.0
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Senior Notes KK, 5.10% fixed-rate, due February 2045
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1,150.0
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Senior Notes QQ, 4.90% fixed-rate, due May 2046
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975.0
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Senior Notes UU, 4.25% fixed-rate, due February 2048
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1,250.0
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Senior Notes XX, 4.80% fixed-rate, due February 2049
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1,250.0
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Senior Notes ZZ, 4.20% fixed-rate, due January 2050
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1,250.0
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Senior Notes BBB, 3.70% fixed-rate, due January 2051
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1,000.0
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Senior Notes DDD, 3.20% fixed-rate, due February 2052
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1,000.0
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Senior Notes NN, 4.95% fixed-rate, due October 2054
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400.0
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Senior Notes CCC, 3.95% fixed rate, due January 2060
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1,000.0
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Junior Subordinated Notes C, variable-rate, due June 2067
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232.2
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Junior Subordinated Notes D, fixed/variable-rate, due August 2077
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700.0
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Junior Subordinated Notes E, fixed/variable-rate, due August 2077
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1,000.0
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Junior Subordinated Notes F, fixed/variable-rate, due February 2078
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700.0
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