FR0010777532


ISIN code fr0010777532_en.pdf FR0010777532 (410.68 ko)
Amount of issue 133,560,000.00 USD
Term Perpetual
First call 06/08/2009
Date of repayment 30/09/2015
Issue price 100%
Repayment of capital 100% du nominal
Lead manager BNP Paribas, Natixis
Listing Luxembourg Exchange