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Bond


   
Issuer: Nordex SE
Guarantor: Nordex Energy GmbH
Volume: EUR 150,000,000.00
Listing: April 7, 2011
Maturity: April 12, 2016
Interest rate (p.a.): 6.375 %
Coupon date: April 12
Market segment: Bourse Luxembourg (regulated market)
ISIN/WKN: XS0601426538 / A1H3DX
Contact: Ralf Peters (Tel: +49 40 30030 1522)


 
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