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Item 3 — Quantitative and Qualitative Disclosures About Market Risk
Carnival Corporation Ltd. · 10-Q · Q2 FY2026 · Period ended May 31, 2026
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For a discussion of our hedging strategies and market risks, see the discussion below and Note 10 - “Fair Value Measurements, Derivative Instruments and Hedging Activities and Financial Risks” in our consolidated financial statements and “Item 7. Management’s Discussion and Analysis of Financial Condition and Results of Operations” within our Form 10-K. There have been no material changes to our exposure to market risks since the date of our 2025 Form 10-K.
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Interest Rate Risks
The composition of our debt was as follows:
May 31, 2026
Fixed rate 52 %
EUR fixed rate 32 %
Floating rate 5 %
EUR floating rate 10 %