symrise.com

BOND

Nominal amount € 300,000,000
Denomination € 1,000
Form Bearer form
Interest rate 4.125 % p.a.
Maturity date Oktober 25, 2017
Interest payment day October 25
ISIN DE000SYM7779
WKN SYM777
Common Code 54901127
Initial listing Oktober 15, 2010

 

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