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Rambler's Top100







Bond Issues: Eurobonds Fibria (Fibria Overseas Finance Ltd.), 2019

Issue information:

• Issuer, issue number: Fibria (Fibria Overseas Finance Ltd.), 2019
• Income calculation:
Date of trades
Price %
• Type of bond: Eurobonds
• Issue status:outstanding
• Par, currency of issue:USD, 100000
• Amount:1 000 000 000
• ISIN:USG3400PAA50
• End of placement:Oct 26 2009
• Issue price:99.2
• Yield at Pricing:9.375%
• Coupon:9.25%
• Coupon frequency:2 time(s) per year
• Settlement Date:Oct 30 2009
• Maturity date:Oct 30 2019
• Issue Managers:BofA Merrill Lynch, Deutsche Bank, JP Morgan
• Additional information:Rating: Ва1 (Moody's)
• Investment banks: Lead manager(s):
Merrill Lynch
Deutsche Bank
 JP Morgan

Borrower:

• Logotype:
• Issuer: Fibria
• Full issuer name: Fibria S.A.
• Country:Brazil
• Web site:http://www.fibria.com.br/en/index.htm
• Issuer profile:Fibria is a Brazilian pulp and paper company created by a merger between Aracruz and VCP, born positioned as a global leader in pulp, with production capacity exceeding 6 million tons of pulp and pape ...
• Industry:Timber and paper&pulp industry

Complete profile

Issuer:

• Logotype:
• Issuer: Fibria Overseas Finance Ltd.
• Full issuer name: Fibria Overseas Finance Ltd.
• Country:Cayman Isl.

Complete profile

Trading info:

OTC MARKET

Quote bid/offer: ***
YTM bid/offer: ***
Weighted average price (Mar 15 2010): ***
YTM: ***
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Trading info, archive >>>

Payment schedule:

Date Coupon, % p.a. Coupon size, USD Par redemption, USD Notes
30.04.2010 9.25 4625
30.10.2010 9.25 4625
30.04.2011 9.25 4625
30.10.2011 9.25 4625
30.04.2012 9.25 4625
30.10.2012 9.25 4625
30.04.2013 9.25 4625
30.10.2013 9.25 4625
30.04.2014 9.25 4625
30.10.2014 9.25 4625
30.04.2015 9.25 4625
30.10.2015 9.25 4625
30.04.2016 9.25 4625
30.10.2016 9.25 4625
30.04.2017 9.25 4625
30.10.2017 9.25 4625
30.04.2018 9.25 4625
30.10.2018 9.25 4625
30.04.2019 9.25 4625
30.10.2019 9.25 4625 100000




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