Main info

 

 

Issue quality

500,000,000 €

Annual coupon

3.625%

Maturity at issue

9 years

Maturity date

23/09/2033

Issue price

99,300%

Rating

BBB

ISIN Code

XS2906211946

Espandi tabella

 

ALLOCATION BY COUNTRY

62%

Investment funds

16%

Banks

15%

Institutions and others

7%

Insurance and retirement funds

Allocation by investor type
72%

Green investors

28%

Other investors

Proportion of green investors

 

 

 

 

Documents

 Framework

Second Party
Opinion - DNV

ISSUE

PDF
PDF
Espandi tabella