Below you’ll find information about our latest bonds. This includes denominations as well as maturity dates.

We’re happy to answer any further questions you may have. Contact details can be found here.

 Eurobond 2025Convertible Bond 2017Eurobond 2027
Nominal amount€ 500,000,000€ 400,000,000€ 500,000,000
Denomination€ 1,000€ 100,000€ 1,000
FormBearer formBearer formBearer from
Interest rate1.25 % p.a.0.2375 % p.a.1.375 % p.a.
Maturity dateNovember 29, 2025June 20, 2024July 1, 2027
Interest payment dayNovember 29June 20July 1
ISINDE000SYM7720DE000SYM7787XS2195096420
WKNSYM772SYM778SYM773
Common code200557891163400065219509642
Initial listingMay 29, 2019June 20, 2017July 1, 2020
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Symrise Factbook 2019

Convertible Bond 17/24

Notice to the holders of the convertible bond

Prospectus Bond 19/25

Prospectus Bond 20/27

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