Bond factsheet | |
---|---|
Issuer | Brenntag Finance B.V. |
Guarantor | Brenntag SE |
Listing | Luxembourg Stock Exchange |
ISIN | XS1689523840 |
Aggregate principal amount | EUR 600m |
Denomination | 1.000 |
Minimum transferable amount | 100.000 |
Coupon | 1.125 % |
Coupon payments | 27 Sep |
Maturity | 27 Sep 2025 |