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Change € -0.18 ( -3.60%) 1:18PM GMT+02:00 May 17

Bond information

 

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