Bond I & II factsheets

BOND I  
Issuer Platin1426. GmbH
Issued Amount EUR 425.000.000
Denomination EUR
Date of issue December 21, 2017
Maturity June 15, 2023
Coupon 5,375% p.a.
First interest payment June 15, 2018
Payment Frequency June 15 and December 15 in each year
Listing International Stock Exchange
ISIN XS1735583095
BOND II  
Issuer Platin 1426. GmbH
Issued Amount EUR 125.000.000
Denomination EUR
Date of issue August 03, 2018
Maturity June 15, 2023
Coupon 6,875% p.a.
First interest payment December 15, 2018
Payment Frequency June 15 and December 15 in each year
Listing International Stock Exchange
ISIN XS1862512024