Series F
Trading Data | |
---|---|
Placement | Frankfurt Stock Exchange (Open Market) |
Corporate Credit Rating | BBB+, ilAA+ (S&P), Baa1 (Moody's) |
Bond Rating | BBB+ (S&P), Baa1 (Moody's) |
Issue Volume | 450,000,000 Euro |
Of which held in treasury | 169,200,000 Euro |
Maturity Date | 02.03.2022 |
Coupon Rate | 0.25% |
Conversion Price | €26.18 |
First listing | Q1 2016 |
ISIN | XS1373990834 |
WKN | A18YJ1 |
Link to Xetra | Link to Xetra |