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Teva Pharmaceutical 0.375% 2020-07 EUR

New bond issue: Teva Pharmaceutical (NYSE:TEVA) issued new debt notes (XS1439749109) for 1.75B EUR as of July 25, 2016.

Teva Pharmaceutical Finance NV operates in the Netherlands as a finance subsidiary of Teva Pharmaceutical Industries Limited, an Israeli multinational pharmaceutical company.

IssuerTeva Pharmaceutical Finance
Stock (Group)NYSE:TEVA
Bond TypeCorporate
CategorySenior, Callable
Maturity DateJuly 15, 2020
Residual Duration0 days
CurrencyEUR (Euro)
Coupon TypeFixed Rate
Coupon (Yearly)0.375%
Coupon FrequencyAnnual
Minimum Lot100,000 EUR
Additional Lots1,000 EUR
Issue DateJuly 25, 2016
Issued Amount1,750,000,000 EUR
Issue Price99.644%
Maturity Price100.000%
Home ExchangeDublin
Other ExchangesFrankfurt, Berlin, Stuttgart, BondVision
IsinXS1439749109
Issue DocumentationIssue Prospectus
IndustryPharmaceuticals
SectorHealth Care
CountryNetherlands
RegionEurope developed


Bonds, Corporate, Health Care, Pharmaceuticals, Europe developed, Netherlands, EUR, Fixed Rate, Income


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