Eurobonds Forum Bank, 2009 (LPN)
Issue information:
• Issuer, issue number:
Forum Bank, 2009 (LPN)
• Type of bond:
Eurobonds-LPN
• Issue status: redeemed
• Par, currency of issue: USD, 100000
• Amount: 100 000 000
• ISIN: XS0272333096
• End of placement: Oct 18 2006
• Issue price: 100
• Coupon: 10%
• Coupon frequency: 2 time(s) per year
• Settlement Date: Oct 30 2006
• Maturity date: Oct 30 2009
• Issue Managers: Citigroup and Standard Bank
• Trading floor, listing category:
SIX
• Issue ratings: (rating history )
• Additional information: Debt Ratings: B2//B-
• Files:
Listing notice
• Investment banks:
Lead manager(s): Citigroup Standard Bank
Borrower:
Trading info:
OTC MARKET, Jul 28 2009:
Payment schedule:
Date
Coupon, % p.a.
Coupon size, USD
Par redemption, USD
Notes
30.04.2007
10
5000
30.10.2007
10
5000
30.04.2008
10
5000
30.10.2008
10
5000
30.04.2009
10
5000
30.10.2009
10
5000
100000
COMMENTS: 18.02.09 Phoenix Capital : Forum Bank: another call for parent support EURO
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