R-LOGITECH 

BOND

KEY DATA BOND 2018/2024

IssuerR-LOGITECH S.A.M.
Issued amountEUR 200 million
WKN/ISINA3LJCA/DE000A3LJCA6
Coupon10.25 % p.a.
Issue price100 %
Term6 years
Value date29 March 2018
Interest paymentAnnually in arrears on 29 March of each year (in 2019 for the first time)
Redemption price100 %
Redemption date24 June 2024
DenominationEUR 1,085
StatusUnsubordinated, secured
CovenantsNegative pledge, change of control, cross-default, 50% limitation on dividend
DocumentationApproved prospectus in Luxembourg with notification to Germany (BaFin)
Stock exchangeOpen Market of Deutsche Börse AG ("Freiverkehr" of the Frankfurt Stock Exchange)
Global Coordinator & BookrunnerBankM - Repräsentanz der FinTech Group Bank AG

R-LOGITECH

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