Abstract of the convertible bond 2016 / 2019
WKN / ISIN: | A2BPCQ / DE000A2BPCQ2 |
volume: | total nominal value of up to EUR 2.525.000 mio. (October 15th 2019) |
coupon: | 4,5% p.a. |
price: | 9,80 Euro |
term/maturity: | from december 16th 2016 until december 15th 2019, redemption on december 16th 2019 |
interest payment: | biannual in arrears, respectively on june 16th and december 16th, first payment in june 2017 |
Lisitng: | Munich Stock Exchange Open market |
next interest payment date: | june 16th 2019 |