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Admiralty Finance 3.496% 2037-06 EUR

New bond issue: Admiralty Finance issued new debt notes (XS1744316719) for 37.75M EUR as of January 10, 2018.

Admiralty Finance SA is a Spanish company formed for the purpose of issuing debt securities.

IssuerAdmiralty Finance
Bond TypeCorporate
CategorySenior, Callable
Maturity DateJune 30, 2037
Residual Duration16 years, 5 months, 6 days
CurrencyEUR (Euro)
Coupon TypeFixed Rate
Coupon (Yearly)3.496%
Coupon FrequencySemiannual
Minimum Lot100,000 EUR
Additional Lots1,000 EUR
Issue DateJanuary 12, 2018
Issued Amount37,750,000 EUR
Maturity Price100.000%
Other ExchangesFrankfurt
IsinXS1744316719
IndustryEnergy Equipments & Services
SectorEnergy
CountrySpain
RegionEurope developed


Bonds, Corporate, Energy, Energy Equipments & Services, Europe developed, Spain, EUR, Fixed Rate, Income


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