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 |