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Naviera Armas FLR% 2024-11 EUR

Update! New bond issue: Naviera Armas issued new debt notes (XS1717590563) (144A: XS1717590993) for 300M EUR as of November 17, 2017. Tradable at Euronext Dublin as of March 31, 2018.

Naviera Armas Ferries is a Spanish company that operates ferries mainly in the Canary Islands. It is headquartered in Las Palmas, Spain.

IssuerNaviera Armas
Bond TypeCorporate
CategorySenior, Callable
Maturity DateNovember 15, 2024
Residual Duration3 years, 11 months, 19 days
CurrencyEUR (Euro)
Coupon TypeFloating Rate
Coupon (Yearly)4.250%+Euribor3M
Coupon FrequencyQuarterly
Minimum Lot100,000 EUR
Additional Lots1,000 EUR
Issue DateNovember 17, 2017
Issued Amount300,000,000 EUR
Maturity Price100.000%
Home ExchangeDublin
Isin 144AXS1717590993 (144A)
RegionEurope developed

Bonds, Corporate, Industrials, Marine, Europe developed, Spain, EUR, Floating Rate, Income

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