Debt financing – February 28, 2019
Thursday, February 28, 2019
EUR 700 million Issue – FR0013405347
> Final Terms for the EUR 700 million 0.125% bond maturing February 28th, 2023
> 2018 Base Prospectus with Supplements
Issue Date | Thursday, February 28, 2019 |
---|---|
Maturity | Tuesday, February 28, 2023 |
Currency | EUR |
Issued Amount (in millions) | 700 |
Coupon | 0,125 % |
ISIN Code | FR0013405347 |
Listing Market | Luxembourg |
Moody's / S&P Rating | A1/A+ |