Bonds 2017 – 2027
Bonds 2017 – 2027
Issuer | Fresenius Finance Ireland plc. |
Currency | € |
Issue amount | 700,000,000 |
Value date | January 30, 2017 |
Maturity | February 1, 2027 |
Coupon | 2.125% |
Coupon payment | Annually on February 1 |
Issue Rating | BBB / Baa3 / BBB- |
Guarantor | Fresenius SE & Co. KGaA |
Stock exchange | Luxembourg / Regulated Market |
Denomination | 1,000 |
Clearing agency | Clearstream Luxembourg / Euroclear |
ISIN Code | XS1554373677 |