IDENTIFIERS |
ISIN |
XS2875106168 |
Wertpapier |
A3L563 |
Sector |
Consumer,Non-cyclical |
Ranking |
Sr Unsecured |
ECB Eligible |
N |
|
BOND & COUPON |
Coupon type |
FIXED |
Calculation |
ACT/ACT |
Next Cpn Date |
15.12.2025 |
Bond type |
|
Next Call Date |
15.09.2032 |
|
ISSUANCE & TRADING |
Issue Date |
20-11-2024 |
Issue Size |
700.000.000 |
Minimum |
100.000 |
Increment |
1.000 |
Exchange |
NYSE AMERICAN |
|
RATINGS |
S & P |
BBB
|
Moodys |
Baa2
|
Fitch |
BBB
|
|
ADDITIONAL INFORMATION |
|
MS+120 BPS |
|