Fixed income / public debt

Senior notes

Currency Coupon (fix) Outstanding amount Maturity ISIN Issuance
EUR 10.5% 825m 30 March 2029 XS2724532333 November 2023
USD 12.25% 400m 30 March 2029 US03217CAB28 November 2023

Credit ratings

Rating Agency Rating Outlook
Standard & Poor's B stable
Moody's B2 negative
Fitch B+ stable (senior unsecured)

Convertible bonds

Currency Coupon (fix) Outstanding amount Maturity ISIN Issuance
EUR 0% 447.4m1) 5 March 2025 DE000A19W2L5 March 2018
EUR 2.125% 760m 3 November 2027 DE000A283WZ3 November 2020

1) After successful convertible bond repurchase program. Original issued amount EUR 600m.

Documents

Information document - Senior notes launch 2023

Document

Notice of additional guarantees - CB 2027

Notice