7.375% $1.50bn SEP
Issue Details
Unique Identifier
XS2384701020/238470102
XS2384701020/238470102
Issue Amount (N'bn)
1.5
1.5
Tenor (Years)
12
12
Coupon
7.38
7.38
Issue Date
Sep. 28, 2021
Sep. 28, 2021
Maturity Date
Sep. 28, 2033
Sep. 28, 2033
Status
Listed
Listed
Issuer
Programme
Offer Documents
Issuer Ratings
Issue Price
Redemption
Coupon Frequency
At par
Semi-annually
Issue Price
At par
Joint Issuing Houses
Redemption
Semi-annually
Offer Document(s)
Title | Size | Download |
---|---|---|
3b. Executed Pricing Term Sheet – 2033 Notes | 183.29 KB | DownloadPreview |
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