Bond 2025

Bond factsheet
IssuerBrenntag Finance B.V.
GuarantorBrenntag SE
ListingLuxembourg Stock Exchange
ISINXS1689523840
Aggregate principal amountEUR 600m
Denomination1.000
Minimum transferable amount100.000
Coupon1.125 %
Coupon payments27 Sep
Maturity27 Sep 2025