Final Terms Bond 2028
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Bond 2025 | Bond 2028 | Bond 2029 | Bond 2032 | |
---|---|---|---|---|
Issuer | Brenntag Finance B.V. | Brenntag Finance B.V. | Brenntag Finance B.V. | Brenntag Finance B.V. |
Listing | Luxembourg Stock Exchange | Luxembourg Stock Exchange | Luxembourg Stock Exchange | Luxembourg Stock Exchange |
ISIN | XS1689523840 | XS2802928775 | XS2394063437 | XS2802928692 |
Aggregate principal amount | EUR 600m | EUR 500m | EUR 500m | EUR 500m |
Denomination | EUR 1.000 | EUR 100.000 | EUR 100.000 | EUR 100.000 |
Minimum transferable amount | EUR 100.000 | EUR 100.000 | EUR 100.000 | EUR 100.000 |
Coupon | 1.125 % | 3.750% | 0.500% | 3.875% |
Coupon payment | Annual: Sep. 27 | Annual: Apr. 24 | Annual: Oct. 06 | Annual: Apr. 24 |
Maturity | Sep. 27, 2025 | Apr. 24, 2028 | Oct. 06, 2029 | Apr. 24, 2032 |