1.125% Euro Bond
Overview of bond
| Time to maturity: | 2019-2028 | 
| Maturity: | Dec. 18 | 
| Coupon (%): | 1.125 | 
| Volume of issue (million): | 1.000 | 
| Currency: | EUR | 
| ISIN: | XS1936139770 | 
| Listing: | Luxembourg | 
| Denomination: | 1,000 | 
| Interest payment: | Jan. 18 | 
| Documentation: | EMTN from Jun. 27, 2018 and EMTN Supplement from Sep. 06, 2018 | 
More information:
 to overview