3.25% S IMMO bond 2015-2027
Downloads
- Bonds with a nominal value of appr. EUR 48.9 million called (.pdf)
- Download Final Terms Bond 2015-2027 (.pdf)
Key data relating to the bond
Issuer | S IMMO AG |
---|---|
Outstanding volume | EUR 34,199,000 |
Status | senior unsecured |
Denomination | EUR 500 |
Coupon rate | 3.25% p.a. of nominal value, payable on 21 April |
Term | 12 years to final maturity |
Redemption | 21 April 2027 at par |
Trading | Official Market of the Vienna Stock Exchange |
Paying agent | Erste Group Bank AG |
Valuta | 21 April 2015 |
ISIN | AT0000A1DWK5 |