Currency |
Coupon (fix) |
Outstanding amount |
Maturity |
ISIN |
Issuance |
EUR |
10.5% |
825m |
30 March 2029 |
XS2724532333 |
November 2023 |
USD |
12.25% |
400m |
30 March 2029 |
US03217CAB28 |
November 2023 |
Rating Agency |
Rating |
Outlook |
Standard & Poor's |
B |
stable |
Moody's |
B3 |
stable |
Fitch |
B+ |
stable |
Currency |
Coupon (fix) |
Outstanding amount |
Maturity |
ISIN |
Issuance |
EUR |
2.125% |
760m |
3 November 2027 |
DE000A283WZ3 |
November 2020 |
Dokumente
Einholung der Zustimmung zum Convertible Bond mit Fälligkeit 2027
Results Announcement for the Vote without Meeting concerning the Convertible Bond due 2027
Announcement
Holder Countermotion dated 16 May (supported by the issuer)
Document
Launch Announcement
Announcement
Consent Solicitation Memorandum
Document
Data Protection Notice
Notice
Current Terms and Conditions
Document
Standard Voting Form (reflecting countermotion)
Document
Mitteilung über zusätzliche Garantien - CB 2027
Notice
Informationen zu den Senior Notes 2023
Document