Issuer Reditum S.A.
Amount Issued €198,334,000
Type of Security Registered bonds
Denomination €1000
Maturity 2023-07-15
Coupon 6.25%, semi annual payments
Interest dates January 15 & July 15 2016,2017,2018,2019, 2020,2021, 2022 and 2023
Governing Law Luxembourg law
Paying agent Swiss Investment Corporation, London
Common Depositary Caceis Bank, Luxembourg
Isin XS1257166956
Bloomberg ticker REDTUM
Clearing Clearstream & Euroclear