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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