AGRI RESOURCES
BOND
DOCUMENTS
FINANCIAL STATEMENTS
We report on our activities annually.
KEY DATA AGRI RESOURCES GROUP S.A. BOND
Issuer | Agri Resources Group S.A., Luxembourg |
ISIN | XS1413726883 |
Coupon | 8.000% |
Issue Price | 100% |
Notes | EUR 25,000,000 aggregate principal amount of 8% due 2021 |
Issue Currency | Euro |
Issue Date | The Notes will bear interest on their principal amount at a rate of 8.0% per annum as from 17 June 2016 |
Specified Denomination | EUR 10,000 each |
Redemption Date | The Notes will be redeemed at par on 17 June 2021 |