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Bond


All important information in terms of the bond in a summarized overview


Issuer: Nordex SE
Amount: EUR 275,000,000 EUR
Issue amount: 100 per cent
Maturity: 02.02.2023
Ranking: Unsecured, pari passu
Coupon: 6.50 %
Interst payment dates: 1. February / 1. August - half yearly
Denominations: 100,000 EUR
Redemption: from 02.02.2020 possible
  2020: 103,250 per cent
  2021: 101,625 per cent
  2022 and thereafter: 100 per cent
Offering Format: RegS / 144a
Listing: The International Stock Exchange
ISIN: RegS: XS1713474168
  144a: XS1713473947
Governing Law: New York Law
Joint Global Bookrunners: BNP Paribas, HSBC, J.P. Morgan, UniCredit
Trustee: BNY Mellon


Rating


S&P Moody's
Datum: 23.01.2018 Datum: 23.01.2018
Company Rating: B stable outlook Company Rating: B3 stable outlook
Bond Rating: B stable outlook Bond Rating: B3 stable outlook
Analyst: Tobias Büchler Analyst: Oliver Giani

Publications



 
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