Nyrstar has a number of outstanding bonds:
7% Convertible Bonds due 2014
In July 2009, Nyrstar issued EUR 120 million of senior unsecured Convertible Bonds due July 10, 2014.
Key information: | Outstanding principal amount: |
€119,900,000 |
| Interest: |
7% per annum |
| Conversion price: |
€6.17 |
| Maturity date: |
July 10, 2014 |
| Listing: |
listed on the Luxembourg Stock Exchange and admitted to trading on the Luxembourg Stock Exchange’s Euro MTF Market |
| ISIN code: |
BE6000211829 |
| Further information: |
see the Prospectus |
5.5% Bonds due 2015
In April 2010, Nyrstar issued €225 million of fixed rate Bonds due April 9, 2015 through a public offering in Belgium and Luxembourg.
Key information: | Outstanding principal amount: |
€225 million |
| Interest: |
5.5% per annum |
| Maturity date: |
April 9, 2015 |
| Listing: |
listed on the Luxembourg Stock Exchange and admitted to trading on the regulated market of the Luxembourg Stock Exchange |
| ISIN code: |
BE6000680668 |
| Further information: |
see the Prospectus |
5.375% Bonds due 2016
In May 2011, Nyrstar issued €525 million of fixed rate Bonds due May 11, 2016 through a public offering in Belgium and Luxembourg.
Key information: | Outstanding principal amount: |
€525 million |
| Interest: |
5.375% per annum |
| Maturity date: |
May 11, 2016 |
| Listing: |
listed on the Luxembourg Stock Exchange and admitted to trading on the regulated market of the Luxembourg Stock Exchange |
| ISIN code: |
BE6220236143 |
| Further information: |
see the Prospectus |