Grupo Famsa (Mexico) on May 24, 2013 placed USD 250m in bonds with a 7,25% coupon, maturing in 2020. The bond was priced at 99,325% to yield 9.375%. Credit Suisse and Citigroup arranged the deal.
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Issuer, issue number Grupo Famsa, 2020
Type of debt instrument Eurobonds
Issue status outstanding
Type of placement Public
Par, currency of issue USD 2,000
Amount 250,000,000
ISIN USP7700WCG35
End of placement 05/24/2013
Issue price 99.325
Yield at Pricing 9.375
Coupon 7,25%
Coupon frequency 2 time(s) per year
Start of coupon calculation 05/31/2013
Maturity date 06/01/2020
Issue Managers Credit Suisse and Citigroup