3.25% S IMMO bond 2015-2027



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