All important information in terms of the bond 2018/2023 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 |
Green Opinion: |
DNV GL |