Here you may find all relevant details on the RWE conventional bond issuance.
Issuer | RWE AG |
Format | conventional |
Currency | EUR |
Amount | 1,250m |
Issuance Date | 24 August 2022 |
Tenor | 3 years |
Maturity Date | 24 August 2025 |
Coupon | 2.50% |
German Securities Code | A30VMU |
ISIN | XS2523390271 |
Issue Price | 99.775% |
Denomination | 1,000 EUR |
Current Instrument Rating | Baa2 / BBB+ |
Listing | Luxembourg Stock Exchange |
Paying Agent | Deutsche Bank AG |
Please be advised that this information cannot replace a comprehensive risk assessment session, e.g. with your financial advisor.