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 |