3.25% S IMMO bond 2015-2027

Key data relating to the bond

IssuerS IMMO AG
VolumeEUR 65m
Statussenior unsecured
DenominationEUR 500
Coupon rate3.25% p.a. of nominal value, payable on 21 April
Term12 years to final maturity
Redemption21 April 2027 at par
TradingVienna Stock Exchange, second regulated market
Paying agentErste Group Bank AG
Valuta21 April 2015
ISINAT0000A1DWK5